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A leading global bank in London is seeking a Market Risk Manager to oversee risk management for Europe Linear desks. Responsibilities include developing risk control frameworks, monitoring daily risks, and managing a team. The ideal candidate will have significant experience in market risk management and a strong understanding of rates products, with critical thinking and excellent communication skills. This role offers competitive benefits and a hybrid working model.
Job Title Europe Linear Rates - Market Risk Manager - Director
Location Director
Corporate Title London
The Chief Risk Office function has Group-wide responsibility for the management and control of all credit, market, operational, enterprise and liquidity risks and has the responsibility of continual development of methods for risk measurement, frameworks and creating a bank wide strong risk culture.
As a Market Risk Manager, you will ensure the effective risk management and oversight of Europe Linear, Collateral and Funding desks. You will join a team of risk managers sitting on the trading floor and directly coordinating with traders and other business partners to help support business expansion initiatives, provide effective daily risk management, help with risk appetite calibrations, stress testing, framework improvement and reporting and strive for efficiency and streamlining of processes.
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You can expect:
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