The Senior Manager, Market Risk Management will be responsible for upholding the integrity of the Group's risk/return decisions, ensuring that market risks are properly assessed, and risk/return decisions are made transparently and controlled in accordance with the Group's Risk Appetite. The role will also involve ensuring the Risk Management Framework is effectively embedded in Market Risk, exercising direct Risk Control Ownership for Market Risk, and ensuring compliance with regulatory requirements.
Requirements
- Financial Risk Management certification from GARP will be preferred.
- CFA certification will be an added advantage.
- 6+ Years of experience in Market Risk
- Masters degree in Finance or some quantitative subject (Science, Engineering)
- Substantial experience in Market Risk products, including demonstrated success in a similar role.
Benefits
- Core bank funding for retirement savings
- Medical and life insurance
- Flexible and voluntary benefits available in some locations
- Time-off including annual leave, parental/maternity (20 weeks), sabbatical (12 months maximum) and volunteering leave (3 days)
- Flexible working options based around home and office locations, with flexible working patterns
- Proactive wellbeing support through Unmind, a market-leading digital wellbeing platform, development courses for resilience and other human skills, global Employee Assistance Programme, sick leave, mental health first-aiders and all sorts of self-help toolkits