Senior Market Risk Project Manager
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- London E
- Posted 9th Mar 2010
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Posted by:
Aston Carter
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Salary:
GBP per day
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Job Type:
Contract
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Reference:
2239061
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This job has been viewed
57 times
since it was posted.
Job Description
SENIOR MARKET RISK PROJECT MANAGER, VAR METHODOLOGY, CROSS ASSET CLASS PRODUCTS, INVESTMENT BANKING, LONDON.
Major Investment Bank requires a Senior Market Risk Project Manager for a Mission critical Role. Must have strong Market Risk Project Management experience including VAR methodology, Market Risk System implementation/migration and the ability to communicate effectively will all levels of the business. The candidate should have good cross asset class product experience. My client is looking for in-depth Project Management experience gained within top tier financial institutions, including man management, stakeholder management and managing project plans, Risks & issues through to successful delivery. The successful candidate will have exceptional VaR methodology and underlying Greeks knowledge.
Strong knowledge of cross asset class products for example Rates, Equities and Equity derivatives Products is highly desirable.
Market Risk knowledge that is desired:
* Experience of market risk sensitivities and measurement
* Experience of market risk reporting and processes
* Understanding of how historical VaR is calculated
* Understanding of derivative instruments
Investment Banking/Capital Markets experience is a prerequisite for this position. Experience of Regulatory driven projects highly desirable. A technical background is also well sought after.
Aston Carter Ltd is acting as an Employment Business in relation to this vacancy.
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