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Market Risk Manager

  • Location: Paris
  • Salary: €90,000 - €140,000
  • Job type: Permanent
  • Job reference: BCF 169071
  • Sector: Banking
Job Description

Market Risk Manager

  • Our client is a leading global investment bank who are developing their French entity in Paris. As part of a wider hiring project across governance, the firm are looking to add to their Fixed Income Market risk team.

 

RESPONSIBILITIES:

  • Proactively identify and analyse training exposures across the Fixed Income trading book
  • Set and monitor adherence to trading limits working with the Front Office to monitor risk exposures
  • Investigate and review limit breaches
  • Contribute to the stress and reverse stress testing process
  • Assist with the risk management of new products
  • Work under the Market Risk Internal Model Approach and contribute to the development and maintain of risk and capital frameworks

 

EXPERIENCE REQUIRED:

  • Significant experience of Market Risk management gained within a Fixed Income/FX/Commodities trading environment
  • A solid understanding of European financial regulation is essential
  • French language skills are desirable but not essential
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