Market Risk Manager
Crédit Agricole CIB
Daily Responsibilities:
Assist the Head of FC and FX options Risk Manager in the monitoring of Market Activity, the review of positions taken by the desk and communication to Senior Management:
Periodic Responsibilities:
Assist the Head of FX and FX options Risk Manager in the review of the risks taken by the business and the reward of taking these risks using current or new methodologies:
Assist the Head of FX and FX Options Risk Manager in ensuring that the market risk control environment complies with the regulatory requirements:
Change Management:
Challenge the status quo, promote change and coordinate transformation of methodologies, measurements & processes with business and support areas:
– Current risk culture
– P&L reporting
– Price verification policy
– Reserving policy
– Pricing and sensitivity generation
– Risk consolidation
– Risk reporting
– Focus on risk issues
– Transparency of core and non-core risks
– Limit setting, monitoring & reaction
– Data management (Market and historical data management)
– Market Risk Engineering (new model & product approval)
– Project Management
– Back office (deal flow)
– Drive the business to coordinate the process
– Maintain final sign-off authority (delegated by Global Head of DRM)Supplementary InformationOur commitment to you:Join our team at Crédit Agricole CIB, the corporate and investment banking arm of 10th largest banking group worldwide in terms of balance sheet size (The Banker, July 2023). We offer more than just a job.You will be part of a dynamic and collaborative work environment where CSR is embraced in our day-to-day business operation, innovation is encouraged and diversity is celebrated.Crédit Agricole CIB, the first French bank to have committed to the Equator Principles, is a pioneer and global leader in sustainable finance. means that your work will have a positive impact on our communities and the environment.
With a people-centric culture where everyone is valued, and opportunities for personal and professional growth, Crédit Agricole CIB is not just a place to work – it is where you make an impact.Our hiring process is open to all and should you have any particular needs or you may require adjustments, please let us know.Position locationGeographical areaEurope, United KingdomCityLondonCandidate criteriaMinimal education levelPostgraduate degree – MA/MSc/PhD/Doctorate or equivalentAcademic qualification / Speciality· Degree within relevant disciplineExperience· Robust prior experience within Market Risk with a detailed understanding of FX, FX Options and Exotic products.Required skills· Have the ability to explain high-level trading risk for responsible portfolio managers· Strong communication skills· Strong relationship building capabilitiesTechnical skills required
LanguagesEnglish
London
Sat, 03 Aug 2024 00:08:55 GMT
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