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Market Risk Reporting Manager

  • Location: London
  • Salary: £40,000 - £60,000
  • Job type: Permanent
  • Job reference: JL/1485614
  • Sector: Market Risk
Job Description
My client is a French Corporate Bank with a major office in London.

The team comprises both Market Risk Managers and Market Risk Reporting Managers & Analysts. My client is looking for an individual with proven experience in managing the reporting for a bank. The role will involve T0 and T+1 Market Risk Reporting which will include both Historical Simulation and MonteCarlo VaR.

The challenge in the role will emanate from the senior interaction with both Market Risk Managers and the efficient use and management of the data.

Applicants must have proven experience working with VaR and be prepared to discuss the nuances between VaR methodologies. Candidates must have good excel skills which will include the use of VBA.

This is a great role with good visibility. The role offers a firm foundation in Market Risk Management and fundamentally a broad experience working across both asset classes and with different teams around the bank.

Please submit a CV or call for a discreet conversation about the role and client.


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