Market Risk Quant Manager

3 weeks ago


London, United Kingdom Mazars Full time

Due to the continued growth of our FS Risk Consulting Department, we are looking for a Market Risk Quantitative Manager to join the Quantitative Finance Team based in London. You will mainly interact with banks but also insurance companies, large corporatesand service companies on a variety of projects.

Within the quantitative finance team you will be involved in projects as follows:

- The Manager would be expected to participate in the active growth of our Quant practice by contributing to multiple client engagement teams, working with a wide variety of clients to deliver professional services, and lead business development activitieson key accounts.
- Manage project execution and delivery of client engagements, making sure the project is delivered within the agreed timeline and budget
- Identify likely issues that could impact delivery and leverage Mazars network support as required
- Contribute to Mazars' regulatory watch activities by writing articles or providing technical content.
- Work on management tasks (team planner, budget monitoring, recruitment)
- Assist in the development of training, engagement procedures and methodologies.
- Mentor, coach and develop more junior staff.

**Person Specification**
- Experience in Market Risk IMA FRTB preferred.
- Different sub-roles required within the same team
- Market data algorithms (e.g. backfilling algorithms),
- Non-Modellable Risk Factors,
- PLAT test
- Strong experience in Python, R and SAS
- Excellent project management and stakeholder management skills and experience
- Motivated by business development activities
- Ability to work in a team
- People management skills and experience, especially supervising and coaching team members

**Inclusion and Diversity**

At Mazars inclusion and diversity are central to our values. We recognise that being an inclusive and diverse organisation makes us stronger as a business.



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