Financial Markets Risk Manager

1 week ago


London, Greater London, United Kingdom Standard Chartered Full time
About the Role

We are seeking an experienced Financial Markets Risk Manager to join our team in Standard Chartered's Markets division. As a key member of the team, you will be responsible for managing risk and controlling exposure across various asset classes. This involves collaboration with risk and control stakeholders for model validation and controls implementation.

Key Responsibilities
- Manage risk and control exposure across various asset classes
- Collaborate with risk and control stakeholders for model validation and controls implementation
- Conduct research into alternative models and numerical techniques, as well as ongoing assessment of models published in industry or academic literature

Requirements
- MS/PhD in a quantitative discipline (financial mathematics, physics, statistics...)
- Past experience developing/validating financial markets derivative pricing/risk models in an international bank
- Proficiency in C++ programming and knowledge of functional programming

What We Offer
- Competitive salary: $150,000 - $200,000 per annum
- Core bank funding for retirement savings, medical and life insurance
- Flexible working options based around home and office locations, with flexible working patterns

About Us
Standard Chartered is a leading international bank with a strong presence in Asia, Africa and the Middle East. We offer a collaborative and inclusive work environment that supports the growth and development of our employees.

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