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Develop risk models policies and procedures to ensure all market risk are adequately monitored (default risk liquidity risk FX risk interest rate risk investment risk Derivatives Pricing Controls Guarantees Calculation)
Analyze and interprets complex data to provide regular reports and recommendations to stakeholders (sensitivity Analysis stress testing backtesting recovery Plan)
Draws on technical knowledge to contribute to risk streams of Euronext Clearing Internalization programme providing recommendations for improvement and supporting the implementation of any resulting changes
Support Clients on risk related topics taking appropriate action or escalating as appropriate
Your profile
Experience in Risk Management within the banking or financial services industry (including regulators and consultancy firms)
Deep knowledge of financial markets and instruments
Good knowledge of programming languages (e.g. Matlab Python VB SQL Java C Excel VBA etc) with the ability to write and amend code and analyse big data sets
Good Analytical skills and problem solving attitude
Strong Attitude to teamwork
Ability to work well under pressure
We are proud to be an equal opportunity employer. We do not discriminate against individuals on the basis of race gender age citizenship religion sexual orientation gender identity or expression disability or any other legally protected factor. We value the unique talents of all our people who come from diverse backgrounds with different personal experiences and points of view and we are committed to providing an environment of mutual respect.
This job description is only describing the main activities within a certain role and is not exhaustive. It does not prevent to add more tasks projects.
Required Experience:
Manager
Full-Time