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Market Risk Manager

2 months ago


London Area, United Kingdom ETRA Talent Full time

Front Office Market Risk Role - VP Level

London Hybrid

Salary 80-100k +BB


Are you an experienced market risk professional looking to make an impact at the VP level? We are seeking a highly skilled Market Risk Analyst to join our clients fantastic team and take a key role in monitoring, analyzing, and managing risk exposure across multiple asset classes. If you thrive in a fast-paced environment and have a passion for financial markets, this is the opportunity for you.


Key Responsibilities:

  • Monitor and analyze market risk exposure across a range of asset classes.
  • Identify potential risk issues and collaborate with traders and stakeholders to implement effective risk management strategies.
  • Review new business/product initiatives and provide recommendations to the Head of Market Risk.
  • Develop and implement risk policies and procedures, including setting risk limits and stress testing methodologies.
  • Conduct regular risk assessments and deliver accurate, timely reports to senior management.
  • Collaborate closely with other risk managers and control functions to ensure a consistent and robust risk management approach.
  • Stay informed of regulatory developments and ensure full compliance with relevant regulations.


Requirements:

  • Bachelor's degree in finance, economics, or a related field.
  • A minimum of 5 years of experience in market risk management with exposure to both cash trading and derivatives across multiple asset classes.
  • Strong analytical and quantitative skills with the ability to identify and evaluate complex risk issues.
  • Excellent communication and interpersonal skills, with the ability to work effectively with traders and other stakeholders.
  • In-depth understanding of financial markets, products, and instruments.
  • Knowledge of market risk management regulations.
  • Ability to work independently and manage multiple priorities.
  • Ambitious and proactive, with a drive to excel and go beyond expectations.
  • Coding skills in Python and SQL are a strong advantage.


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VP-Level Market Risk – Prime Brokerage Risk

London- Hybrid

Salary 90 -110k +BB


Are you a seasoned risk professional with expertise in Prime Brokerage risk? We are recruiting for an experienced VP-Level Prime Brokerage Risk Analyst to join a leading financial institution, where you will be at the forefront of managing risk across the clients prime brokerage business. This is a unique opportunity to step into a key leadership role, driving effective risk management strategies across a fast-paced and dynamic environment.


Key Responsibilities:

  • Oversee and manage market risk exposure specifically within the prime brokerage division.
  • Partner with key stakeholders, including traders and senior management, to identify, assess, and mitigate market risk in line with the firm’s strategic objectives.
  • Develop and implement comprehensive risk frameworks and stress testing methodologies to address prime brokerage-specific risks.
  • Provide expert recommendations on risk limits and capital requirements, aligning with regulatory expectations and internal policies.
  • Conduct detailed risk assessments across multiple asset classes, ensuring clear, timely reporting to senior leadership.
  • Stay ahead of regulatory developments and ensure compliance with global risk management standards.
  • Collaborate with teams across market risk, credit risk, and operations to maintain a robust and consistent risk management culture.


Requirements:

  • A minimum of 5+ years of market risk experience, with a significant focus on prime brokerage risk management.
  • Strong understanding of financial markets, including equities, fixed income, derivatives, and related instruments.
  • Proven experience working with prime brokerage clients, understanding their specific risk profiles and business models.
  • Excellent communication skills, with the ability to convey complex risk concepts to senior stakeholders and decision-makers.
  • Experience with regulatory frameworks relevant to market risk management.
  • Strong analytical and problem-solving skills, with the ability to thrive in a high-pressure environment.


Coding in Python/SQL is a plus, but not required.