Risk Management Reporter - AVP
The role involves :
- Production and distribution of market risk reports including investigation and analysis of exceptions, data integrity and methodology issues
- Reporting and performing validation checks on VaR movements. This will involve evaluation and analysis of market risk exposures by employing statistical and other approaches.
- Working closely with the Business, IT Departments, Controllers, Operations and your counterparts in other regions
- To participate in the roll out of enhancements in risk systems, processes and data feeds.
- Graduate or Post-Graduate in Finance/Statistics/Economics/Sciences/Mathematics.
- Completed or currently taking the CFA or FRM qualifications would be desirable
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