Market Risk Manager Resume Samples

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CL
C Labadie
Creola
Labadie
9612 Kristina Lake
San Francisco
CA
+1 (555) 566 5832
9612 Kristina Lake
San Francisco
CA
Phone
p +1 (555) 566 5832
Experience Experience
Phoenix, AZ
Market Risk Manager
Phoenix, AZ
Schultz-Larkin
Phoenix, AZ
Market Risk Manager
  • Identifying, measuring, monitoring and controlling all related financial risks and ensuring relevant regulatory frameworks are in place
  • Help coordinating weekly market risk reporting including Key Risks reporting
  • Complete back-testing and stress testing providing a summary on business activity including major exposures and current market updates
  • Designing, running and reviewing reports to monitor key risk sensitivities (CS01, CS1%, Vega, Gamma, IDR, etc) for the Global Credit Products business (GCP)
  • Liaising with and supporting other risk management functions such as Methodology, Portfolio, Market Data and associated Working Groups and Committees
  • Designing, reviewing and signing off on scenario results across various portfolios within GCP
  • Developing and implementing Risk-Not-In-VaR (RNIV) and Stress Testing analyses
Chicago, IL
Cbna GF Volcker Rule Market Risk Manager
Chicago, IL
Rosenbaum, Ullrich and Stokes
Chicago, IL
Cbna GF Volcker Rule Market Risk Manager
  • Develop, implement and maintain standardized market risk control and procedures in accordance with Market Risk management policies, governance and control framework. Ensure proper implementation of all market risk related policies both corporate and regulatory
  • Analyze regional Volcker metrics and validating results for FX, Rates, Credit and Equity
  • Propose parameters and implement comprehensive stress testing scenarios at business or legal vehicle level. Review and validate CCAR and PRA stress test results and ensuring correct legal vehicle mapping for aggregating stress numbers
  • Frequent interaction with Finance and Product Control in relation to Profit Attribution Analysis (PAA), price verification, pricing and market value adjustments
  • Model Risk coordination with model risk management, Traders/Front Office Quants/Market Risk on model validation and implementation of new model risk management framework
  • Coordinate and perform regional and country MCAs owned by Market Risk. Ensure that Internal Capital Adequacy Assessment Process (ICAAP) risk management controls are being mapped to respective MCAs belonging to respective ICAAPs jurisdictions
  • Review the PPL to ensure that the listed permitted products are compliant with the Trading Desk Mandate, meet the standard defined in the PPL Review and Approval standards, and documenting the conclusions
present
Houston, TX
Senior Market Risk Manager
Houston, TX
Friesen LLC
present
Houston, TX
Senior Market Risk Manager
present
  • Building and maintaining a pro-active relationship with front-office in performing the 2nd line monitoring and control for Markets and Treasury
  • Analysing, monitoring and reporting on the activities of Markets and Treasury in the Netherlands, where relevant in conjuncture with other departments
  • Liaising with the global cluster team, on major moves
  • Liaising with RAFDAR, IT, Change teams to drive delivery of projects / enhancements related to risk representation
  • Advising on improvements in the risk management framework; provide input to new (integrated) risk management policies, methodologies and measurements
  • Oversight and training of junior risk-managers
  • Managing and contributing to analyses and advising upon new business proposals, non-standard transactions, counterparties, portfolio correlations and concentrations
Education Education
Bachelor’s Degree in Finance
Bachelor’s Degree in Finance
University of Pittsburgh
Bachelor’s Degree in Finance
Skills Skills
  • Excellent time management skills with the ability to handle multiple deliverables whilst maintaining excellent attention to detail
  • A strong team worker with an ability to build strong business and team relationships
  • Excellent focus on due diligence, details and descriptions
  • Ability to quickly develop credible working relationships within a team as well as other departments
  • Strong knowledge of Investment Banking business particularly Trading
  • Strong technical and analysis skills – Excel, Visual Basic Access (VBA) and Structured Query Language (SQL), statistics, time series
  • Good knowledge of industry standard interest rates and / or commodity derivative pricing models
  • Good knowledge of industry standard exotic Interest Rate (IR) / Foreign Exchange (FX) / Equities (EQ) derivative pricing models
  • Good knowledge of commonly traded exotic products including rationales, flows and risks (including structural, non-linear, cross and model)
  • Excellent time management and ability prioritise workloads appropriately
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15 Market Risk Manager resume templates

1

Group Market Risk Manager Resume Examples & Samples

  • Independent Market Risk Oversight
  • Work as a team to identify, verify, analyze and oversee RBC Capital Markets market risks in GIB
  • Monitor underwriting and distribution activities in GIB globally to ensure that they are within approved policies and limits
  • Work with colleagues in Enterprise Risk
  • 2-5 years experience in risk management or related field
  • Detail oriented, with strong organizational skills
  • Strong negotiation, oral and written communication skills
  • Solution orientation
  • Enterprise view, with demonstrative collaboration and partnership skills
  • LI-AT1
2

Market Risk Manager Resume Examples & Samples

  • LI-CSJOB* Requirements
  • The candidate shall have a solid understanding of the current regulatory challenges and should have worked on at least one of the programs related to Basel III framework
  • The candidate should have high level understanding of the various types of asset classes and their risk
  • Competent in at least one asset class from the perspective of the understanding of the market, risk and modelling
  • The candidate shall have good knowledge of regulatory capital, scenario and stress tests and key risk of products that are illiquid in nature
  • Excellent focus on due diligence, details and descriptions
  • Excellent analytical skills, ability to comprehend
3

TMO & Market Risk Manager Resume Examples & Samples

  • To oversee and support Treasury Financial reporting and control framework
  • Ensure of embedding control environment in the current process and maintaining tied controls around Treasury Middle Office functions
  • Ensure accounting for Treasury products in accordance to IFRS standards
  • Prepare and review all market risk reports prior to submission to internal\external recipients
  • Familiarization with Front Office dealing strategies/activities
  • Clear understanding of DVAR(Daily Value at Risk) or any other market risk measurement methodology employed
  • Analysis – the jobholder is required to have a detailed understanding of financial product and markets, and also have a thorough understanding of the risk positioning taken on by the business so as to assess, review and challenge business on this, specifically in terms of the impact on the income statement as well as capital consumption. This will require a solid understanding of a mathematical and accounting nature
  • Communication – the jobholder is further required to prepare reports of a high quality to provide insight senior governance forums on the impact of the risk taken by the business on the bank’s income, risk profile and capital consumption. The jobholder is further required to have a deep enough understanding of financial products and markets to actively challenge the business on their risk profile. The jobholder is also required to regularly interact with stakeholders from the Group to discuss such matter in further details
  • Decision making – the jobholder is expected to highlight to senior management and Group stakeholders any factors other than those mentioned above that could adversely impact the bank, such as specific local market developments, changes in regulations, etc. that could affect higher level decisions regarding business plans. Lastly, the jobholder is expected to highlight any concerns in terms of Group-wide processes that may not adequately highlight any local issues or concerns
  • Ensure calculation of DVaR risk locally, reporting risk position data to Group/Regional market risk
  • Responsible for preparing required reports on DVaR , open position and Liquidity
  • Document and verify all approved pricing models
  • Liquidity Risk Management
  • Understand the principles of prudent liquidity management and reporting
  • Ensure that liquidity positions are reported according to Group Treasury liquidity and collateral management guidelines and reserve asset positions
  • Ensure that counterpart limit requests are processed on behalf of Front Office
  • Provide information on counterparties as requested
  • Ensure that the database of counterparty limits is maintained
  • Ensure that all excesses are reported to the appropriate persons
  • Reporting requirements and responsibilities
  • Ensure that reports(as prescribed by GMR) are submitted to GMR, Group Treasury or any other designated recipients on time
  • Ensure that sundry losses are reported in a timely manner and in accordance with group policy
  • Reconciliation of
  • Interest rate risk positions
  • FX Positions
  • FX P&L
  • Fixed income positions
  • Ensure that FX position submitted to the central bank is consistent with reports submitted to GMR
  • Keep abreast of local market developments which could have direct bearing on change to procedures/reporting requirements
  • Ensure compliance with MOM standards and audit requirements
  • Ensure critical controls relating to market risk management is being observed and raise appropriate awareness in Treasury Front and Back-Office
  • Develop/maintain good relationships with Treasury Front and Back-Office staff members to ensure achievement of business goals
  • Assist in the reduction of operational risk in the Treasury Front and Back-Office by carrying out the snap check program
  • Be familiar with procedures for the whole product cycle from deal initiation to settlement
  • Ensure the following
  • Treasury positions are revalued (Marked-to market) correctly
  • Accurate production of daily results
  • Prices used for revaluations of Treasury positions are derived from independent sources
  • Funding cost calculations are verified
  • Results are checked against monthly figures and that differences are investigated and reported promptly
  • Assist in the introduction and rollout of new products
  • Ensure that all new products are appropriately authorized and assigned to a trader and that all relevant support areas are are informed of the new product
  • Prepare commentary on results, positions and days’ activity
  • Positions and results are agreed between Front and BackOffice systems(and dealers own spreadsheets, blotters etc..) and are signed off at the appropriate level
  • Participate in any systems implementation in the Middle-Office
  • Develop/design appropriate reports to provide appropriate information which identifies the risk positions and profit and loss profile of Treasury
  • Participate in training initiatives to ensure Front-Office/Middle-Office/Back-Office staff receive adequate training on Treasury risk systems
  • Sound technical knowledge of risk management and risk systems
  • Ability to challenge at all levels and not be easily influenced
  • Quality- high standards and controls
  • Problem solving/decision making
  • Team player/flexibility
  • Coaching and feedback
  • Business awareness
  • Analytical/risk assessment, assimilation and appraisal of data/information
  • Knowledge/practice experience of Treasury risk systems and operational processes
  • In-depth knowledge of Market risk methodologies & tools
  • Knowledge of standard and non-standing Treasury products
  • Regulatory and Head Office reporting requirements
  • Experience in creating/running risk models
4

Market Risk Manager Resume Examples & Samples

  • Specific knowledge of FID products
  • Good working knowledge of risk regulation including but not limited to Dodd Frank, Volcker Rule and IHC (Intermediate Holding Company), Comprehensive Capital Adequacy Review (CCAR)
  • Highly self-organised, good planner, tracker and chaser with ability to engage experts to deliver
  • Ability to produce high quality accurate work under pressure and tight deadlines
  • Excellent written and verbal communication skills, including ability to provide clear and comprehensive written and verbal responses, and “make complexity simple”
  • University degree majoring in finance, mathematics, engineering, physics, accounting or business preferred
  • Ability to work well in a global team
  • Establish strong working relationships and build partnerships
  • Willingness to question and challenge the status quo and propose alternative approaches
  • Proven business analysis skills with strong attention to detail
  • Proven team player with a flexible approach; self-starter
  • Strong knowledge of Investment Banking business particularly Trading
  • 5 years financial sector experience, preferably in a risk management, product control, finance or project coordination role at an investment bank or within the financial services industry
5

Avp-market Risk Manager Resume Examples & Samples

  • Coordinating regulatory submissions (such as the quarterly IMA quarterly submissions)
  • Keep up to date with new regulation and analysis of its impact on Market Risk
  • Liaising with various departments in the bank for regulatory purposes; including
  • Degree or Post GraduateNumerate degree
  • Skills and knowledge: (Specific product knowledge/PC skills/languages etc) Ability to interpret and articulate regulatory rules and requirements
  • Ability to verify and challenge Risk related information provided
  • Experience in coordinating regulatory responses
  • A highly motivated, energetic and proactive individual with an ability to take ownership and responsibility of his/her tasks and projects
  • To be able to work within tight deadlines
  • Multi tasker; someone not phased by running with 3 or 4 urgent projects
  • Previous role dealing with senior management and /or regulators
6

Prime Brokerage Market Risk Manager, AVP Resume Examples & Samples

  • Day-to-day market risk management of the business lines, ensuring completeness and integrity of the risks captured daily in the official VAR process, identifying and resolving exceptions, monitoring risk positions against VaR and non-VaR limits and reporting on the main risks to the business and to Risk senior management
  • Conduct ad-hoc analyses to identify portfolio risks associated with developing macro themes and special topics
  • Provide transaction approval on large or non-BAU deals
  • Perform stress tests to determine potential losses under different market scenarios
  • Conduct deep-dive analyses into hedge fund portfolios to interpret trading strategies and identify liquidity, concentration and wrong-way risks
  • Consult to Credit Risk Officers on specific client issues and risk exposures
  • Contribute to the continuous improvement of portfolio contingent risk systems
  • Participate in the continuous development of global risk measurement infrastructure in conjunction with risk and IT teams in London and New York
7

Market Risk Manager Resume Examples & Samples

  • Provide independent market and liquidity risk oversight services to businesses in China
  • Ensuring risk transparency through the identification, capture, understanding, measurement and monitoring of all traded and non-traded market risks with appropriate escalation as required
  • Exhibit first class commercial acumen when making decisions in relation to transactions and new product approval
  • Effective management of stakeholder relationships, including all internal and external stakeholder groups including regulatory requests/visits in relation to Market Risk
  • Undertake periodic reviews of the end to end Treasury processes to ensure operational integrity
  • Support development of policies and procedures for local staff, including adapting existing Group policies
  • Understand and apply the market risk and compliance risk frameworks for County Banking operations
  • Identify risks and develop appropriate control frameworks
8

Market Risk Manager Resume Examples & Samples

  • Analyze and review initial Morgan Stanley internal specification for FRTB standardized rules
  • Work closely with IT, Strategists and risk managers to implement the various component of FRTB standardized rules
  • Analyze results and ensure they meet specification
  • Develop reporting of these results
  • Knowledge of financial products is essential, including an understanding of risk representations (greeks) of equity products in particular but not limited to
  • Knowledge of FRTB standardized charges and default risk
  • Past experience in developing stress tests and scenarios
  • Strong IT skills are required to facilitate data analysis, including VBA, SQL and macros
  • Excellent time management skills with the ability to handle multiple deliverables whilst maintaining excellent attention to detail
  • Excellent academic background, including a degree in a quantitative discipline, such as economics, finance, statistics/mathematics, sciences or engineering
9

Market Risk Manager, Rates / Fx-avp / VP Resume Examples & Samples

  • Lead the agenda of Market Risk initiatives for the global team this includes liquidity analysis and instrument authorities, limits review, trends in stress results, risk based P/L view, dynamic agenda around expected market moves, global view of discontinuous risk in partnership with desk aligned Risk managers
  • Work with the Risk Managers to ensure that concentrated or concerning risk positions are appropriately reported and managed
  • Work with the VaR methodology team on ad-hoc analysis and investigation. Also, highlight best/worst VaR days and VaR/Stressed-VaR drivers
  • Relevant market risk management experience - open on asset class
  • Strong project management skills, inquisitive nature and attention to detail
  • Proven ability to manage people, directly or indirectly
10

Market Risk Manager Resume Examples & Samples

  • An postgraduate degree in a quantitative or financial discipline. Additional qualifications, such as CFA or Financial Risk Management (FRM) will be an advantage
  • Good interpersonal and communication skills, as the role requires interaction with senior management and various constituents across business and support functions
  • A willingness to take an active involvement in day-to-day activity and flexibility in addressing a number
11

Asia Credit Value Adjustment Market Risk Manager Resume Examples & Samples

  • Experience of large-scale technology project implementation and/or management would be an advantage
  • A willingness to take an active involvement in day-to-day activity and flexibility in addressing a number of projects simultaneously. This is a 'hands-on' role, with limited additional support
  • Ability to identify issues, take initiative and operate with limited supervision
12

Market Risk Manager Resume Examples & Samples

  • The position is responsible for the reviewing of market risk management framework and policies to measure and control all aspects of market risk for Trading and Banking Book
  • You will conduct the surveillance of Treasury activities to ensure governance with the approved parameters for Trading and Banking Book
  • Furthermore, you will also conduct the reporting of market risk exposures arising from Treasury activities and drive the implementation of market risk systems at the centre
  • Finally, you will develop appropriate implementation plans for change management and chart out milestones based on market and business intelligence on financial and regulatory developments
13

Market Risk Management Equities Market Risk Manager Resume Examples & Samples

  • Carry out day to day validation of risk information processed by dedicated Risk Data Control Team based in Mumbai
  • Ensuring complete and accurate risk capture and reporting for all portfolios covered
  • Management of projects to improve risk capture and reporting, working with other groups like Product Control, IT, Trading
  • Analysis of risk on daily/weekly/monthly bases and timely communication of key points to senior management
  • Perform regular deep dives into portfolios
  • Understand key methodologies (VaR, BFI, RNiV etc) and perform “what if” analysis
  • Review exceptional trades and new business
  • Daily interaction with FO with respect to risk taking activities and limit/flag utilisations.    
14

Market Risk Manager Resume Examples & Samples

  • Review and analysis risk across all asset classes within the UK entities. This will involve compiling and maintaining a list of top risks, scenarios, tail risks and illiquid positions
  • Produce management and regulatory risk materials and reports
  • Support the development of the risk appetite and limit framework within the UK entities
  • Engage with multiple areas to analysis key risk positions, back-testing and limit breaches and significant Profit &Loss
  • Communicate key risks to senior management
  • Support the development of improved controls and processes
15

Market Risk Manager Resume Examples & Samples

  • Good and sound understanding of Global Markets and Market Risk Management, particularly FX and Fixed Income
  • Ability to work well as part of a team
  • Excel proficiency, VBA useful but not required
16

CVA Market Risk Manager, VP Resume Examples & Samples

  • Experience working in a relevant field (e.g. risk management, trading, structuring). Experience in CVA would be ideal
  • Deep knowledge of derivatives across multiple asset classes and familiarity of their market and credit risk profiles
  • The ability to rapidly grasp, apply and explain detailed technical concepts
  • Experience of programming (VBA within Excel, C++ etc.) is preferred"
17

Market Risk Manager Resume Examples & Samples

  • Pro-active risk management of Structured Rates portfolios with emphasis on Vanilla Options Desk
  • Ensuring timely delivery of risk reports, with ability to resolve any reporting problems and design new risk reports
  • Monitor and report adherence to RBC market risk limits
  • Design and implementation of portfolio level stress tests, assessment of both downside risk and product class behaviour
  • Ensuring risk position data is accurately measured through risk sensitivities, Value-at-Risk, stress scenarios, and Regulatory Capital
  • Ad-hoc transaction and portfolio analysis
  • Assist in implementation of new product initiatives and system infrastructure enhancements
  • Help coordinating weekly market risk reporting including Key Risks reporting
  • Knowledge/experience of vanilla and structured interest rate derivatives
  • Understanding of the market risk framework gained from either a risk or valuations background
  • An upper second class or above degree in a quantitative discipline
18

Market Risk Manager Resume Examples & Samples

  • Primary Equity Trading for all trading activities in Singapore. Conduct review of daily Equity market risk reports and provide regional Head of Market Risk, Singapore head and regional Equity head with updates on trading activities. Also assist market risk of other businesses in Singapore and APAC Equity business
  • Key regulatory contact interact with the MAS for inquiries, reviewing and approving market risk reports sent to regulators (including scenarios) and working with EMG head to ensure coverage from regulatory perspective
  • Key lead on Singapore LE project to ensure appropriate governance and controls of business moving into Singapore. This will include working with regional Equities and EMG function leads, RFDAR and Risk IT to cover businesses moving to Singapore from UK and other entities
19

Market Risk Manager Resume Examples & Samples

  • Knowledge of Value at Risk and other risk management frameworks
  • Quantitative undergraduate degree is a plus
  • Excellent understanding of derivative pricing model risks
20

Treasury Market Risk Manager, AVP / VP Resume Examples & Samples

  • Responsibility for the assessment, monitoring and reporting of market risks related to the bank's regional Treasury activities, interest rate risk in banking books (IRRBB) and global money markets
  • Contribution to market risk related projects for example with regards to enhancements of governance, risk monitoring processes, risk appetite definition, and stressed net interest income
  • Widespread cooperation with colleagues across departments and regions
  • University degree in business administration, economics, finance or another quantitative area, or comparable level of education
  • Work experience in Risk Management or Treasury
  • Pronounced flair for numbers and strong analytical capabilities
  • Thorough understanding of the market risks of financial instruments, with a particular emphasis on interest rate and FX risks
  • Good understanding of market risk systems and previous exposure to market risk are a plus
  • Microsoft Excel & PowerPoint skills
21

Senior Market Risk Manager Resume Examples & Samples

  • Analysis and review of risks, focusing on understanding behavior of derivative products under various market conditions
  • Review and sign-off of Key Risk Reports, Stress Testing, Scenario Analysis & Regulatory Scenarios
  • Liaising with the global cluster team, on major moves
  • Design, development & production of cluster reports for distribution to senior management and regulators
  • Thorough analysis of periodic Risk Reports (Monthly, Quarterly) resulting in meaningful, actionable commentary for use by cluster managers
  • Liaising with RAFDAR, IT, Change teams to drive delivery of projects / enhancements related to risk representation
  • In order to perform his/her task the analyst is required to demonstrate a strong knowledge of Equities products & valuation models (including structured derivatives) desk and business strategy (strong understanding of various Derivatives trading strategies used in Equities), the IT infrastructure & flow of data (from pricing models to reporting infrastructure & databases), macro-economic drivers of risk, etc
22

Market Risk Manager, Rates Resume Examples & Samples

  • Developing full understanding of trading strategies and potential risks of interest rate products within US Interest Rates Products business
  • Performing deep-dive trading portfolio reviews to ensure that higher order risks are transparent to Senior Management and sufficient controls aligned with the firm's risk appetite are in place
  • Monitoring trader flags and desk level VaR limits and providing commentary on significant risk drivers
  • Addressing risk factor and scenario/stress gaps to ensure that all appropriate risks are fully captured in the market risk systems
  • Reviewing risk reports processed by Risk Analytics and Reporting (RAR) teams based in Singapore and London to ensure risk is captured correctly and large daily moves are explained
  • Developing relevant risk metrics beyond existing ones. Building financial timeseries and preparing routine analytical reports using internal systems
23

CVA Scenarios Market Risk Manager AVP Resume Examples & Samples

  • Market Risk Management
  • Degree level education, preferably in a numerate subject. A post graduate or professional qualification would be a distinct advantage
  • Experience working in a relevant field (e.g. risk management, trading, structuring). Experience in Credit Value Adjustment would be ideal
  • Knowledge of derivatives across multiple asset classes and familiarity with option risk profiles
  • The ability to rapidly grasp, apply and explain technical concepts
  • Experience of programming (VBA within Excel, C++ etc.) is preferred
24

Market Risk Manager Resume Examples & Samples

  • Timely delivery of risk reports, with good understanding of all the content
  • Monitor and report adherence to market risk limits and standing orders
  • Ensuring all trades are accurately captured in the trade booking and risk systems
  • Developing liquidity and risk reports
  • Enhancing the liquidity risk framework for the HK subsidiary
  • Spearheading initiatives for regulatory changes regarding liquidity management and reporting
  • Monitoring trading credit risk limit utilisation
  • Pro-active risk management of portfolio
  • Stress testing of the portfolio
  • Ad-hoc trade and portfolio analysis and project work
  • Assist in implementation of new product initiatives
  • Occasional P&L analysis
  • A good first degree in a quantitative discipline
  • Strong English, both oral & written
25

Market Risk Manager Resume Examples & Samples

  • Work on the FRTB project, from the Specification to the testing phase, in close contact with the risk managers and the IT department
  • Monitor the market risk appetite and exposures within Global Markets (Rates and FX, Credit Markets, Equities, Commodities)
  • Review the desk's VaR and SVaR utilisation on a daily basis, providing commentary and analysis on major risk drivers and positional movements
  • Complete back-testing and stress testing providing a summary on business activity including major exposures and current market updates
  • Establish a strong working relationship with the relevant Front Office teams to gain a thorough understanding of their positions and trading strategy
  • Perform issuer risk reporting, monitoring exposures against issuer specific limits on a weekly basis
  • Obtain desk sign-off and escalate breaches as per Market Risk procedure
  • Monitor Market Risk limits, escalating any breaches in accordance with Market Risk
  • Working knowledge of market risk measurement & management (VaR, Stress-Testing, greeks & sensitivities)
  • Good quantitative and problem solving skills
  • Working knowledge of credit instruments (e.g. bonds, credit default swaps) is required
  • A clear and effective communicator, persuasive in inter-personal communication
  • Excellent academic references up to and including degree level in a quantitative discipline, higher degrees desirable
  • The job holder will be a confident pro-active self-starter, an intelligent lateral thinker and a problem solver who is good at dispute resolution
  • Competent user of Excel with basic VBA skills
  • Knowledge of Front, Murex and Asset Control would be beneficial but not essential
26

Assistant Market Risk Manager Resume Examples & Samples

  • Liaising with the London cluster team, on major moves, and on any errors that have been identified
  • Liaising with Global Cluster Managers (US, EMEA or APAC) to understand their business requirements and provide them with adhoc analysis and build reports as per specifications
  • Preferable 2-4yrs experience in banking role with a focus on risk management, equities, markets, analytics, data management and reporting
  • Sound knowledge of finance theory and products is a prerequisite. Knowledge of option pricing, derivatives, exotics would be preferred
  • Understanding of Investment banking, Trading Lifecycle, Market risk, macro-economics and how all these impact the bank’s portfolio
  • Analytical skills to understand complex products & businesses
  • Attention to detail to allow the candidate to identify potential errors in Risk numbers. Reports are used for business decisions and need to be highly accurate
  • Strong team player and ability to grasp various risk management and reporting systems
27

Market Risk Manager Fixed Income Resume Examples & Samples

  • Involvement in Pre-Trade analysis and New Business Initiatives
  • Working on regulatory development projects on market risk across Private Banking Wealth Management (PBWM)
  • Close interaction with global MRM cluster teams and working within a team of experienced risk analysts on a range of projects to improve risk capture and accuracy
  • Interest and knowledge of Fixed Income markets and products (valuation of options and experience in Rates beneficial)
  • Excellent communication skills with ability to collaborate with Front Office
  • Fluency in English (German a plus)
  • Self-starter with ability to work independently as well as part of a team
  • Experience in Credit Suisse risk system infrastructure a plus
28

Market Risk Manager Resume Examples & Samples

  • Set and enforce market risk limits that are aligned with the Firm's (and local legal entity's) risk appetite
  • Continuously monitor the financial markets and measure the impact on the banks portfolio
  • Engage with the front office to assess the market risk on the current and potential future risk profile, trading strategies, and new products/deals. Continuously assess whether the business is taking risk consistent with the Firm's strategy
  • Evaluate and sign-off new products and/or significant transactions
  • Conduct real-time market risk analysis using tools such as portfolio greeks, stress testing, liquidity analysis, and Basel capital measures such as VaR, Stressed VaR, IRC, and CRM
  • Coordinate as necessary with other functional groups including risk analytics, front office strats, operations, risk reporting, regulatory and capital groups
  • An excellent academic background, including an advanced degree in a quantitative discipline, such as economics, finance, sciences or engineering
  • Additional qualifications, such as an FRM, would also be looked upon favourably
29

Assistant Market Risk Manager Resume Examples & Samples

  • Professional qualifications like MBA, CA
  • < 2 years in Risk/finance/capital market
  • Strong ability to communicate successfully and to high standards (written and verbal)
  • Exposure to regulatory reporting in risk/finance/capital market
  • Producing management reports in a timely and accurate manner
  • Business analysis skills including strong problem solving skills
  • Specific experience in any of: Risk reporting, market risk including VAR and P&L attribution
  • Exposure to reporting tools like Hyperion, Microstructure will be an added advantage
30

Market Risk Manager G Rates & Markets Treasury Business Resume Examples & Samples

  • Extensive years of relevant experience in the rates markets with good knowledge of the markets, products and risk. Deep level of experience with treasury and rate products and their risks
  • Experience with portfolio risk measurement techniques including VAR and stress testing, DV01 and IRE
  • Candidate must be very comfortable discussing products and their risks and building spreadsheets to analyse risk and market data, portfolio risks and individual trades
  • Must be dedicated to information integrity and to producing high quality and insightful output and hitting deadlines where applicable. Must be prepared to go into as much detail as is required to resolve issues. Must be capable of working very productively using time very efficiently
31

Market Risk Manager Resume Examples & Samples

  • The candidate will be a part of 4 member US Rates team with an opportunity to rotate on linear (Govt, Agency, Repo, Inflation, Swaps) and non-linear (Vanilla option, exotics) providing exposure to a gamut of interest rate products
  • The candidate will also have an opportunity to work on quantitative/data mining/modeling projects along with the BAU responsibilities
  • As a part of the BAU the candidate will be responsible for
32

Market Risk Manager Resume Examples & Samples

  • The candidate will have to monitor, understand and analyses the market risk and to support the SRM cluster manager and the NSU team
  • Control the risk taking and participate in the definition of a limit framework
  • Advise and drive delivery of tools/methodologies like VaR, sensitivity analysis, scenarios
  • The candidate will prepare deep dive risk analysis and/or stressed scenarios and present findings to others within the team, traders and senior managers
  • Liaise with other departments and support/manage project deliveries.     
33

Market Risk Manager Resume Examples & Samples

  • Keep up with strategies of risk taking units and assist in development of and approve market risk program, ensuring all market risk are adequately covered
  • Ensure identification and measurement and analysis of all market risk exposures against approved limits independently
  • Ensure identification and measurement and analysis of all accrual risk, transfer pricing process from interest rate risk transfer point of view
  • Collaborate with senior management Board of Directors, Alco , Senior management, CCC and regional/ Global risk management teams regarding recommendations, application for limit changes, rationales, risk appetite
  • In-depth understanding of Complex treasury products , derivatives , , financial markets behavior, market characteristics of products including a variety of underlying asset classes
  • Prior experience in Global and or regional Market risk team , ICG risk team , other risk management roles and or Trading role is a plus as well as familiarity with Citi systems
  • Advanced interpersonal and communication , representational skills given the need for frequent interaction with senior management across both business and control functions as well as different platforms ie Board of
  • Self- motivated
  • Relevant experience and an in-depth understanding of markets and the financial services sector
  • Preferably min 5 years’ experience within Market risk and or Treasury
34

Market Risk Manager Resume Examples & Samples

  • Responsibility of driving key projects in areas such as FRTB, FDSF, Stress Testing, CCAR, System Migration / Rationalization, VaR Methodology, IRC, Full Revaluation VaR, etc. which have significant impact on risk and capital management
  • Working with senior stakeholders in MRM Equities to define the Book of Work and provide periodic updates as well as leverage expertise in decision making
  • Help the Equities team leverage Static data and Risk and Scenario EUC’s to deliver tactical solutions
  • Drive enhancements to existing infrastructure for better risk capture and presentation in response to changing business and regulatory environment
  • Performing analysis to respond to questions from risk managers, senior management and regulators  
  • Oversight of junior team members and allied resources responsible for project delivery   
  • Proven experience is liaising with senior stakeholders globally to drive delivery of key projects, offshore strategy and moving the team up the value curve
  • Ability to work in a complex & dynamic environment, understand various risk management systems and tools and interact with multiple stakeholders
  • Good communication skills to discuss risk numbers with various stakeholders such as traders, senior risk managers, IT, Product Control, etc. as required
  • Preferable 8-10 years’ experience in investment banking role with a focus on risk management, project management, technology
  • 3-4 years’ experience in a managerial capacity with experience in building, leading and scaling investment banking teams. Experience in hiring, training, supervision, coaching, mentoring of junior associates
  • Numerate degree would be preferable (incl. Advanced Math, MFE, MBA, etc.)
  • Strong IT skills: VBA, MS Access, SQL, R skills are good to have business skills
35

Jun Market Risk Manager Resume Examples & Samples

  • Understanding of the Basel II/III framework
  • Understanding of regulatory capital, bank’s regulatory trading risk charges and risk management in general
  • Master’s degree in the field of mathematics/ finance/ accounting/ engineering
  • Understanding of different asset classes, risk types and market data sets
  • Preferable to have additional certification courses – CFA, FRM or equivalent qualification
  • Good communication skills and detail orientated
  • Advanced Excel skills
  • Strong analytical skills  
  • Experience in coding to help automate processes and build tools used for analysis   
36

Market Risk Manager Resume Examples & Samples

  • Candidate needs to be analyze and communicate key risk moves and will be required to explain risk moves across the franchise to Senior Management as part of the Weekly Risk Review process. This is also expected to be applied to the various entity and regional portfolios to report to the appropriate Senior Management
  • Responsible for leadership and management of a team of over 10 people
  • Responsible for leading US initiatives for market risk including IT strategic solutions and Regulatory submissions
  • Candidate will be representing LMRM to Senior Management, presenting analysis and commentary to US CRO, UK CRO and the Head of Market & Liquidity Risk Management
  • Responsible for review and delivery of US and firm wide risk analysis
37

Market Risk Manager Resume Examples & Samples

  • MRD electronic trading subject matter expertise and risk oversight
  • Review the risks associated with the trade flow through the multi-layered Trade Plant including manual and automated order generation, algorithm and router performance
  • Evaluate market risk controls around new products and system development
  • Communicate key risks to senior management on a regular basis. Escalate emerging or developing risks as the technological landscape evolves
  • Engage with the front office, assess the risk of the current trading activities and new products/systems. Continuously assess whether the business is taking risk consistent with the Firm’s strategy
  • Work directly with a diverse set of stakeholders including: Sales and Trading, Business Unit Risk Management, Desk Strategists, Compliance, Technology and Operations
  • Oversight of front-office trading limits and controls
  • Review the intraday single and aggregate order limit framework
  • Review intraday order limit utilization
  • Stress testing and analysis
  • Implementation of the governance and controls policy for MRD
  • Ensure policies and procedures document MRD’s role in e-trading risk mitigation
  • 3+ years of experience in a role with direct exposure to electronic trading of equities and/or listed derivatives (Risk Management, Technology, Operational Risk, etc.)
  • Experience with electronic trading technologies and concepts, e.g. FIX messaging, market micro-structure, regulatory rules, and market data
  • Proficiency with a variety of IT applications, programming skills is advantageous
  • Strong project management and communication skills
38

Market Risk Manager, GRM Resume Examples & Samples

  • Run the market risk reporting process and ensure the accuracy of key risk measurements
  • Develop new risk analytics to improve risk monitoring effectiveness
  • Work with trading groups on risk metrics and analyse key strategies and products to ensure they are in line with risk tolerance and objectives
  • Ensure model limitations are properly noted and reflected in risk measurement, reporting, and risk related decision making
  • Ensure limits are comprehensive, exhaustive, and relevant
  • Ensure all key risk metrics are monitored through the current report process
  • Ensure all limit breaches are correctly tracked and reported and escalated correctly for governance purposes
  • Play a lead role among Market Risk end-users in driving local and enterprise reporting solutions
  • Investigate risks to provide value-added insight and analysis to senior management on risk trends and concerns
  • Evaluate risk measures and propose changes as necessary to ensure P&L and risk measurement are properly aligned
39

Market Risk Manager Resume Examples & Samples

  • Mentors Treasury CIO quantitative risk analysts. Collaborates with other market risk managers and to develop, improve and support Treasury CIO Risk Management quantitative risk processes and systems
  • Interact with other Risk Management, Business and Technology teams to coordinate the implementation of risk infrastructures
  • Perform data and risk strategy analyses to support Treasury CIO risk management projects
  • Conduct independent quantitative research projects focused on investment risks
  • Produce reports and analyses for presentation to senior management and regulators
  • Strong financial market knowledge of Fixed Income products
  • Understand risk management systems, data flow, calculation of risk, P&L, accrual earning for various Investments and Asset Liability Management
  • Excellent analytical and technical skills
  • Ability to conduct independent quantitative research analysis
  • Excellent team work ethics
  • Postgraduate level education, with an excellent academic record in a quantitative field (e.g. mathematics, physics, statistics, etc.). Master or higher degree is required
  • Experience in stochastic calculus, derivative and option pricing, numerical analysis, Monte Carlo simulation, and statistical hypotheses testing
  • Knowledge of programming language(s); VBA, Java, and C/C++ are preferred
  • Strong experience working with a relational database such as Oracle, MySQL, MSSQL or Sybase
40

Market Risk Manager, Risk Management Group Resume Examples & Samples

  • Oversee the monitoring and reporting of risk metrics on a daily basis to senior management, including the Managing Director
  • Interact with the front office traders to ensure that the market risks arising from day-to-day trading positions are fully understood and managed appropriately within the limit framework
  • Liaise with back office and support staff to ensure that the trading systems adequately represent the risk profile of the trading books, and that risk numbers are reported in an accurate and timely manner
  • Be immersed in the global financial markets. Understanding what drives financial markets and keeping abreast of market news and trends is vital part of understanding and identifying potential risks
  • Operate in a global environment with staff in Sydney, Hong Kong, Singapore, London, New York and Houston
  • Proven ability to manage a team of staff with a diverse range of experience and skill sets
  • Proven ability to balance the need to switch between detailed day to day activity and problem-solving versus managing higher level longer term activities and objectives
  • Proven ability to sustain high levels of performance under pressure with short deadlines
  • Strong interpersonal skills to build strong relationships with stakeholders across all levels
  • Able to conceptualize, anticipate and articulate emerging issues
  • Experience gained in financial markets
  • Effective presentation skills including strong written communication
41

Market Risk Manager Resume Examples & Samples

  • University degree in related fields, CFA and MBA will be an advantage
  • At least 7 years of experience in financial services covering credit products. This role is open to front office traders who are keen to make the switch to risk management
  • Solid experience in market risk management including market volatility, liquidity environment for credit products and their risk
  • Solid knowledge in VaR and market risk techniques including stress testing and liquidity
  • Strong communications skills and presentation skills. Experience in working with traders as well as senior risk manager across the region
  • Ability to work independently as well as a good team player
42

Fixed Income Non Market Risk Manager Resume Examples & Samples

  • Ongoing review of exposures and identification of operational risk within the Fixed Income Division
  • Working with Information Technology on further improving operational risk metrics across the division
  • Working with Operations to streamline operational risk related processes
  • Participation in Due Diligence on counterparties (strategy, leverage, composition)
  • Participation in New Product Approval process
  • Regulatory work in context of EMIR, MIFID 2, ad-hoc requests of Regulators
  • Providing risk oversight for all regulatory and market infrastructure changes that impact Fixed Income
  • Fixed Income related regulatory enquiries and audits
  • A control focused approach that includes making appropriate risk decisions in a time pressured environment
  • Relevant prior experience in a similar risk role or through supporting fixed income products
  • Solution driven approach to identified issues
  • Ability to coordinate across the broader firm to deliver a stronger control framework
  • Ability to present and communicate to senior management across ISG
  • Enjoying team work across different divisions, disciplines in a fast paced environment
43

Market Risk Manager Resume Examples & Samples

  • Analysing new trades in the Equity business
  • Analysing key risks and stress scenarios
  • Analysing marginal impact on RWA and economic capital
  • Daily analysis of risk metrics and Value at Risk (VaR), understanding daily changes and trends and ensuring accuracy of numbers
  • Escalating and highlighting risk concentrations
  • Liaising with the production team for the creation of new and improvement of existing reports
  • Enhancing the risk capture by Calculating Risk Not in VaR metrics to complement the production VaR model
  • Actively engaging on new regulatory projects
  • Liaising with the methodology team to make improvements to the current risk models such as VaR
  • Implementing new stress scenarios
44

Market Risk Manager Resume Examples & Samples

  • Provide detailed ad hoc quantitative analysis and deep dive reviews
  • Work on regulatory enquiries and build relationship with the various departments to effectively coordinate in the delivery of regulatory inspection requirements
  • Assist the Japan Chief Risk Officer/Head of MLRM Japan with various risk governance tasks including presentation materials, risk analysis and meeting summaries
  • Continue enhancing market risk control processes and risk reporting information
45

Market Risk Manager Equities Resume Examples & Samples

  • Daily aggregation, validation, and monitoring of risk. Regular reporting of risk positions, limit breaches, and stress testing results for firm management and regulatory compliance
  • Working with the front office to understand and address breaches as necessary
  • Reviewing new transaction requests, identifying and assessing the key risk issues, including capital impacts
  • Developing a good understanding of risk systems and help to drive improvements where necessary
  • Ad hoc risk-related projects and infrastructure building
  • Master�s degree in Applied Mathematics, Financial Mathematics, or related quantitative field, or the equivalent work experience
  • Familiarity with equity products and their risk profiles, including understanding of Greeks and impact on VaR
  • Strong proficiency with Excel and VBA
  • Experience in a risk or control related function in financial services institution
  • Detailed and process orientated
46

Market Risk Manager Resume Examples & Samples

  • Responsible for the delivery of FRTB (Fundamental Review of the Trading Book) requirements in relation to market risk equity
  • Define, document, co-ordinate and execute FRTB requirements for equity market risk ensuring seamless integration of key FRTB deliverables
  • Liaison with key stakeholders both internally and externally to the risk division to ensure successful delivery
  • Knowledge of FRTB including implications for equity market risk
  • Demonstrate good judgment of risks and an understanding of risk areas covered, in particular equities, including markets, models and products
  • Good IT skills are required to facilitate data analysis, including VBA, SQL and macros
47

Market Risk Manager for Macro Business Resume Examples & Samples

  • Monitor, analyze, and escalate trading activity on macro business with focus on intra-day risks
  • Maintain constant dialogue with trading desks and front office support groups regarding trading strategies, limit usage, and risk representation of new/exotic trades
  • Project management for key strategic deliverables. This involves understanding the project and its dependencies, coordinate with stakeholders and escalate issues
  • Education: Suitable candidates will have an excellent academic background, including a degree in business, finance, math, science, or engineering
  • Communication: MRD provides risk briefings to senior management which needs to be concise, accurate and timely. The candidate needs to have strong communication and investigative skills
  • Time Management: Attention to detail, project management and prioritization skills will be key in balancing daily deadlines with timely implementation of strategic projects
  • Other: Prior knowledge of market risk, interest rates markets and derivatives is advantageous, although broader and deeper understanding can be developed through job experience
48

Market Risk Manager Resume Examples & Samples

  • Preparation of weekly risk reports for risk management and trader meetings
  • Ad-hoc analysis of trading positions and stress testing
  • Daily recap of markets, P&L and Risk
  • 1-4 years of experience in trading or market risk experience in equities with a strong understanding of equity derivatives and greeks
  • Background in credit products a plus
  • Strong analytic background with a degree in a quantitative field (a graduate degree is preferred)
  • Programming skills are not necessary but strongly preferred
49

VP-market Risk Manager Resume Examples & Samples

  • Candidate needs to be assessed and communicate key risk moves and will be required to explain risk moves across the franchise to Senior Management. This is also expected to be applied to various entity and regional portfolios to report to the appropriate Senior Management
  • Candidate will be representing Market & Liquidity Risk Management (MLRM) to Senior Management, presenting analysis and commentary to US Chief Risk Office (CRO), UK CRO and the Head of Market & Liquidity Risk Management
  • Responsible for delivery of firm wide risk analysis
  • In depth understanding of risk measurement frameworks, particularly Value at Risk (VaR), Stressed VaR, IRC and Basel 2.5 Capital models
  • Solid MS Office skills - Excel at high level a must
  • A degree-level education (or equivalent) in a numerate discipline – post graduate qualifications within a relevant fields i.e. CFA, FRM, PRMIA would be an added advantage
  • Proven experience within a market risk department of an investment bank/consulting firm
  • Solid product knowledge in either one product area or good product knowledge across a diverse range of products
50

Equities Market Risk Manager VP Resume Examples & Samples

  • Liaising with front office and other risk functions to understand and challenge the risk rewards of transactions
  • Ensuring only a marginal impact on risk weighted assets and economic capital
  • Improving current risk models such as Valuation At Risk
  • Defining new stresses
51

Market Risk Manager Resume Examples & Samples

  • Responsible for reporting and monitoring of Corporate Treasury market and liquidity risks on a daily basis according to prescribed Market Risk Policies. Produce Corporate Treasury market risk reporting in a timely and accurate manner, ensuring correctness
  • Responsible for scenario analysis and stress testing of non – traded market risk under various (behavioural) market conditions
  • Produce periodic market and liquidity risk reporting for senior management and committee review, and to support financial and regulatory disclosures
  • Membership of local ALCO and Risk Management Committee
  • 5-10 years’ relevant experience required
  • Treasury risk or asset and liability management experience required
  • The role requires a thorough understanding of financial markets; investment portfolio management: FX, fixed income and money market trading and investment instruments, and the detailed process by which market and liquidity risks are measured and monitored
  • Understanding of interest rate risk (re-pricing risk, yield curve risk, basis risk and optionality), credit spread risk and FX risk (net open, forward FX risk)
  • Understanding of historical VaR models, PV01 & CS01 sensitivity
  • Excellent knowledge of MS Excel, MS Access and MS Word (including VBA and SQL)
  • Attention to detail and a high level of accuracy
  • Ability to communicate effectively and persuasively (oral, written)
  • Experience of working in a stand-alone role
  • Fluency in Dutch or French and English, both conversational and written
52

Market Risk Manager Resume Examples & Samples

  • Analitic capabilities focused on balance sheet management and market variables
  • Knowledge of statistical and financial metrics
  • Presentation and communication skills
  • Knowledge of corporate systems
  • MBA in finance or economics is desirable
  • Understand the economic variables behavior (FX, interest rate, among others)
53

Market Risk Manager Resume Examples & Samples

  • Ownership of risk portfolio and market risk metrics (sensitivities, VaR, SVaR, IRC, Stress Test, MR RWA); ensuring risk-rewad aligment
  • Communication/influence to key risk takers including America’s heads EMD and heads of trading in Local entities
  • Identify/communicate key risks and events affecting potfololio to senior management
  • Lead and develop a team
  • Communication with Regulators
  • Review and approval of new trades/products
  • Identify gaps in risk coverage, measurement and/or methodologies and implement remediatons
  • Assist with production of current/new risk deliverables
  • Work with other support groups to improve risk infrastructure
  • Ensure resources are efficiently utilized/allocated
54

Treasury Market Risk Manager Resume Examples & Samples

  • Understand and analyze the balance sheet interest rate risk in EMEA – covering all businesses in EMEA in EM, Western Europe predominantly ICG, and Treasury
  • Assist with the implementation of Ruby as the global platform for accrual risk management in EMEA
  • Explain the risk in terms of the key drivers such as B/S simulation and forecasting, betas and products with embedded optionality
  • Work with businesses to model and understand balance sheet product interest rate risk to ensure that the accrual risk is correctly measured
  • Experience in treasury risk management and understanding balance sheet accrual risk
  • Understanding of ICG businesses e.g. TTS, Lending, Derivatives, SFT, Securities and broker dealer balance sheet activities
  • Understanding of EM markets and balance sheets products
  • Understand key metrics of Interest Risk Exposure and Economic Value Sensitivity
  • Understand key risk methodologies such as Dynamic Cash Flow simulations, IR sensitivity (beta) analysis and capturing IR exposure in non-linear products or portfolios
  • Working knowledge of economic principles and how macro-economic variables impact product modeling, B/S forecasting and risk metrics
  • Very good knowledge of balance sheet accounting
  • Knowledge of the functionality of the Ruby system in terms of new IRR metrics is a significant plus
  • Market risk related job (risk taking, risk management, risk control / oversight
  • Risk assessment and quantitative analysis experience
  • Financial modeling, including a range of valuation techniques. Experience with balance sheet models will be beneficial
  • Good understanding of financial markets and Market Risk Management
  • Good attention to detail and strong analytical background as the role forms part of the model approval process, where sign off of new models and the enhancement of existing models will be required
  • Personable, a good communicator and work well under pressure
55

Equities Market Risk Manager AVP / VP Resume Examples & Samples

  • Analysing new trades in the equity business
  • Ensuring that all risks are well captured by the risk systems and models
  • Understanding key risks and stress scenarios
  • Analysing risk reports, challenging the desk and escalating risk concentrations when appropriate
  • Liaising with the production team, for any improvements that can be made for the reports
  • Conducting ad hoc book and product analysis
  • Conducting regular review's of risk factors
  • Actively engaging with new regulatory projects
56

Market Risk Manager Resume Examples & Samples

  • Comprehensive pre-deal assessment of complex / structured transactions using quantitative / qualitative risk management techniques such as VAR, Potential Future Exposure (PFE), back-testing, scenario / stress testing, dynamic credit hedging & other risk enhancements, and identification of other non trivial risks (liquidity, wrong-way, dislocation, concentration risk, gap risk)
  • Active involvement in New Product Approval (NPA) process
  • Improve efficiency for vanilla trade requests through roll-out of pre-deal tools, grids, and calculators for initial margin and haircut quantification
57

Market Risk Manager Resume Examples & Samples

  • Makes day-to-day independent decisions to resolve day-to-day issues. Expected to make the necessary decisions to carry out own job responsibilities and meet primary goals and objectives. Analyzes and escalates unusual or complex issues to manager
  • Minimum of 5 years proven, progressive and broad-based risk management with proven experience assessing financial institution risk
  • Bachelors’ degree in mathematics, business, statistics or economics with exposure to math and econometrics; a Master’s degree is preferred
  • Strong knowledge of Excel modeling as well as experience with risk management tools (e.g., QRM)
  • Strong analytical, interpersonal, presentation, problem-solving, lateral thinking, planning, organization, interpersonal and written and verbal communication skills
  • Ability to discuss process and technical issues with business units and others
  • Ability to professionally and effectively present information and respond to questions from all levels of management
  • Direct experience in asset management industry and products and exposure to credit risk issues are preferable
58

Market Risk Manager Colombia Resume Examples & Samples

  • Responsible for controlling price, liquidity and issuer risks/limits
  • Understand the risk associated with the positions and transactions proposed by the Business and the impact they may have. Make sure that to our best understanding those exposures make sense from a risk/return perspective and that we protect the franchise by working close with our Business partners
  • Review and endorse liquidity plans for approval according to corporate policies
  • Responsible for ensuring consistency and reasonableness of market risk reports; ensure market risk measurement data integrity
  • Ensure that all limit excesses and exceptions are duly input in the Limits System as well as updated market risk limits and triggers (Tier 2 Legal Entity, Tier 1 and Tier as a follow-up)
  • Ensure local regulation requests are properly done and follow corporate policies
  • Responsible for monitoring market rates volatilities and adjusting the limits accordingly
  • Ensure ongoing applicability of re-pricing and liquidity assumptions
  • Back-up MRM for other countries along the region
  • Identify whether a new product or complex transactions create new market risk issues that require NPAC approval. Participate in reviewing products programs out of Treasury
  • Interaction and advise to other market risk managers in the region and peer reviews
  • Achieve zero market risk-related issues in ARR s
  • Active involvement with senior management through processes, limits approvals and policies interpretation
  • Manage relationship with the S&T Business, GTS, PCU, Credit Risk, Country Risk, CCO, and other areas in an independent yet constructive way
  • Ensure that Traders, Product Control Unit (PCU) and/or Operations are properly applying all policies and procedures with respect to market risk
  • MCA Coordinator for the local market and liquidity risk processes in Colombia
  • Basic
59

Market Risk Manager, Equities Resume Examples & Samples

  • A postgraduate degree in a quantitative or financial discipline
  • At least 8 to 10 years experience in a relevant Equity Market Risk or Trading role
  • Sound understanding of the Equity Markets and Market Risk Management
  • Strong communicator and able to work well under pressure
  • Daily interaction with traders, regulators, financial and other control groups is necessary, and sometimes under tight time constraints
  • Additional qualifications, such as CFA or Financial Risk Management (FRM) - an advantage
  • Ability to work well as part of a varied and geographically diverse team
60

Buy Side Market Risk Manager Resume Examples & Samples

  • Minimum 7 years' experience in the risk management field (Buy-side preferential)
  • Good understanding of the UCITS framework and of the related regulatory developments
  • Advanced developing/coding skills (SQL, Matlab)
  • Good relational and communication skills, as well as being able to work in a group
  • Quantitative oriented degree (FRM/PRM qualifications are appreciated)
  • Relevant expertise with VaR analysis and Performance Attribution
  • Ability to carry out projects autonomously, also as a project manager
  • Good command of the main financial software (Bloomberg) - knowledge of Riskmetrics will be considered preferential
61

PWM Asia, Non-market Risk, Manager Resume Examples & Samples

  • Partner with the PWM business and control partners such as Compliance and Legal to establish the regulatory controls, governance framework and surveillance methodology
  • Perform daily supervisory and trade based surveillance reviews to ensure adherence to Firm's policy and procedures. Monitor and identify internal breaches / control weaknesses and conduct investigations. Recommend corrective actions where needed
  • Analyze reports and identify trends in monitoring reports. Prepare documentation to report and escalate to senior management any issues and exceptions highlighted
  • Oversee and manage outsourced surveillance teams to ensure that supervisory/surveillance reviews meet our performance criteria and quality standards
  • Coordinate with business units on operational risk areas to reduce the residual risks of the department and improve efficiency and effectiveness.*LI-HL1
  • 6+ years of relevant working experience in the banking industry
  • Business controls, monitoring and testing or operational risk background
  • Product knowledge of various asset-classes including equity, fixed income, listed and OTC derivatives and banking products
  • Proficient in English, Cantonese and Mandarin
  • Risk, Compliance or Global Markets experience
62

Non-market Risk Manager Resume Examples & Samples

  • Creating and maintaining project plans, including ensuring that deadlines under the project plans are met in a timely manner
  • Developing and maintaining various project-related documents, deliverables and processes
  • Establishing relationships and working closely with Sales and Trading Supervisors, Sales and Trading Risk Management, Legal, Compliance, Technology, Operations and other control groups
  • Coordinating with these various functions to ensure that deliverables are received and deadlines are met
  • Participating in internal meetings and working groups to advise and discuss the projects and their relevance to Equity businesses
  • Representing IED in various senior forum to discuss how these projects impact various Equity businesses
  • Developing presentation materials to demonstrate progress and guide meetings; and
  • Proposing processes and solutions to address risk issues
  • Strong motivation to be a self-starter with a positive outlook and desire to solve problems
  • Ability to handle multiple tasks in a timely and effective manner and thrive in a fast-paced environment that lends itself to changing priorities and quick turnaround
  • Proven ability to take ideas forward and to challenge others with integrity and maturity
  • Excellent and concise oral and written communication skills across various levels of seniority in an organization demonstrated by clearly articulating objectives, requirements, risks and issues
  • Strong Excel skills and proficiency in other Microsoft applications such as Word and PowerPoint
  • Background/experience in and/or interest in business, finance and IED products
63

Non-market Risk Manager Resume Examples & Samples

  • Engaging with these various functions to ensure that project deliverables are received and deadlines are met
  • Leading and participating in internal meetings and working groups to advise and discuss the projects and their relevance to Equity businesses
  • Drafting or reviewing presentation materials to demonstrate progress towards deadlines and guide meetings
  • Reviewing and challenging project deliverables
  • Ensuring that deadlines under project plans are being met; and
  • Proposing processes and innovative solutions to address risk issues
  • 5-10 years with a background in Compliance, Risk Management and/or Trading Support
64

Market Risk Manager Macro Products Resume Examples & Samples

  • Evaluating risk exposures and market moves to understand, challenge and explain the daily changes in the portfolios
  • Understanding internal and regulatory risk models and analysing their outputs
  • Understanding the products traded and trading strategies
  • Supporting Market Risk Managers in daily and strategic risk management activity
  • MSc/PhD degree in Finance, Economics, Mathematics or other quantitative/engineering discipline
  • Preferably 2-4 years of risk management related experience, however very solid graduate candidates will also be considered
  • Solid numerical/quantitative and Excel skills (preferably including VBA)
  • Good understanding of Rates/FX cash & derivative products and risk management models would be an advantage
  • Risk management related certificates are desirable (e.g. FRM, PRMIA/PRM, CQF or CFA)
65

Risk-market Risk Manager Resume Examples & Samples

  • University degree or above in a quantitative discipline
  • Minimum 5 years of market risk management or trading experience from reputable financial institutions
  • Exposure in a trading environment will be highly regarded
66

Market Risk Manager Resume Examples & Samples

  • Market Risk management job experience (3-5 years is desirable)
  • Sound bank products knowledge is required
  • Project management skills in order to comply with tight deadlines and accomplish global projects
  • Knowledge oif the Citigroup Ruby platform is desirable. Corporate Finance and Accounting Rules knowledge is desirable. Advance Excel knowledge is also a plus 100% written and spoken english is required
67

Macro Market Risk Manager Resume Examples & Samples

  • Suitable candidate will have an excellent academic background in quantitative field, preferably a masters/PhD degree
  • Attention to detail, project management and prioritization skills will be key in balancing daily deadlines with timely escalation of ad-hoc analysis
  • Strong technology/quantitative skills are required to facilitate data analysis such as proficiency in excel, Bloomberg and other statistical/data tools
68

IED Market Risk Manager Resume Examples & Samples

  • Work independently and with reporting groups to enhance the quality of risk analysis communicated to business units and senior management
  • Escalate key risks to management with relevant ad-hoc analysis in a timely fashion
  • Suitable candidates will have an excellent academic background, including a degree in economics, finance, or engineering
  • Attention to detail, project management and prioritization skills will be key in balancing daily deadlines with timely implementation of strategic projects
  • Candidates will be expected to show good judgment of risks and an understanding of risk areas covered, in particular Fixed Income and Equities, including markets, models and products
  • Strong IT skills are required to facilitate data analysis; competence with SQL, R, MS Excel and VBA is required
69

Market Risk Manager Resume Examples & Samples

  • Involvement in a number of strategic market risk workstreams
  • Technical analysis of market risk profiles, understanding of key risk drivers
  • Work closely with IT, Strategists and Risk managers
  • Assist in market risk framework development
  • Assist in developing reporting
  • Strong Market Risk background and in depth knowledge of financial products, including an understanding of risk representations (greeks)
  • Detailed knowledge of VaR, Expected Shortfall, Backtesting and Stress testing
  • Understanding of BII.5 and III
  • Knowledge of FRTB SBA and IMA
70

Market Risk Manager Resume Examples & Samples

  • Ensuring application of a disciplined trading process to optimize risk adjusted returns
  • Participating in the challenge process for mental models, trading strategies, and potential deals/acquisitions
  • Helping commercial personnel understand reward/risk and capital requirements of potential deals and exploring structuring alternatives to optimize return
  • Verifying that trading activity and positions are consistent with strategies and current market points of view
  • Working with traders and management to establish trading authority limits
  • Maintaining accurate risk measures and monitoring daily risk levels against risk based limits
  • Monitoring current market conditions to judge whether current risk methodology is appropriate and whether management should be notified about significant changes in the potential risk profile
  • Leading and mentoring the risk analyst team
  • Facilitating collaboration between Commercial, Finance, IT and Risk to develop and implement efficient, repeatable processes and systems to support new business activity
  • Interacting with other risk professionals at Koch Industries to gain, share, and apply knowledge
  • 3+ years experience in and understanding of natural gas and/or power markets
  • 3+ years experience in market risk management
  • Strong collaboration & communication skills
  • Leadership and/or supervisory experience
  • Risk modeling capability / experience using a major ETRM system
  • Solid understanding of commodity market concepts & fundamentals
  • Ability to make the complex simple
  • Strong math, statistics, and analytical capability
  • Bachelor's Degree in Accounting, Economics, Finance, Math, Engineering, Physics, Computer Science or related Business degree
  • 5+ years experience in and understanding of natural gas and/or power markets
  • 5+ years experience in market risk management
  • OpenLink Endur system experience
  • Advanced degree / emphasis: risk management, math/statistics
  • Risk Management certification
71

Liquidity Market Risk Manager, AVP Resume Examples & Samples

  • Risk Monitoring and Control
  • Interest rates in the Banking Book and Market Risk
  • Flexibility to adapt to changing day-to-day priorities whilst simultaneously achieving longer term project based deadlines
  • Proficiency in Excel and VBA essential
72

Market Risk Manager Resume Examples & Samples

  • Models to measure credit risk on an obligor and portfolio level under stress
  • Interpretation of scenario results for Financing products
  • Identify and explain exposure drivers, concentrations and run ad-hoc simulations for new trades and scenarios
  • Analysis of historical data to estimate model parameters
  • Regular analysis and control of model inputs, results and sensitivities
  • Responsibility for strategic initiatives of the department as well as various projects
  • Involvement in IT projects to drive implementation of Stress models in state of the art IT environment
  • Preparation of presentation materials and communications (for Board meetings and regulatory inspections)
  • Strong numerical skills, knowledge of financial products, derivatives
  • Performing ad-hoc analyses
73

Junior Market Risk Manager Resume Examples & Samples

  • Understanding how market and exposure moves affect risk figures
  • Carrying out ad-hoc analysis, e.g. running stress scenarios related to anticipated market events
  • LI-MZ1*
  • MSc degree in Finance, Economics, Mathematics or other quantitative / engineering discipline
  • Preferably 1-2 years of risk management related experience, however solid graduate candidates will also be considered
74

Market Risk Manager Resume Examples & Samples

  • Understanding derivative products traded by the bank
  • Good understanding market risk
  • Problem solving skills, attention to details and ability to clearly explain complex concepts
  • Flexibility and willingness to learn
75

Market Risk Manager Resume Examples & Samples

  • Communicate to senior management banking book risk profile in the US
  • Implement and maintain a comprehensive framework to identify, measure, monitor & manage market risks
  • Constant awareness and understanding of the market risks taken by the business areas and communication to senior management and with external stakeholders
  • Partner with the business units to guide them through adopting risk in banking book programme
  • Analyze and provide transparency to the senior management for the banking book risk metrics, including Economic Value of Equity (EVE) and Net Interest Income (NII)/ Earnings at Risk sensitivities
  • Analyse and monitor banking book portfolio risk profile – portfolio measures, Greeks/sensitivities, stress results etc
  • Built up a risk appetite framework, liaising with front office and other risk functions; understand and challenge the risk rewards of transactions
  • Liaise with respective asset class risk managers to ensure that risk appetite stays within the limit
  • Participate and lead working groups to improve risk identification, risk measurement and risk reporting
  • Create and maintain strong relationships with the different teams in the bank (Front Office, Finance, Other Risk Divisions)
  • Intellectual curiosity to learn new products, risk measures, systems
  • Independency and self motivation
  • Ability to mobilize under pressure and deliver to the tight deadlines
  • Ability to lead, manage and influence stakeholders/teams across different functions
  • Take essential complex decisions on the basis of information made available
  • Multiple years of experience in a financial markets role preferably in market risk management or Treasury areas
  • Understanding of the financial markets, derivatives and market risk
  • Knowledge of key risk measures (e.g. duration, PV01, VaR, Stress)
  • As a plus, good understanding of various risk frameworks and how they are interconnected for bank’s capital calculation
76

VP-market Risk Manager Resume Examples & Samples

  • Supervise market risk activities including VaR, Stress, Limits, Positions and other controls
  • Define trading limits and set limits for all trading desks
  • Price and risk manage exotic products, (Range Accrual Swaps, Swaptions, Multi Callable Swaps)
  • Part of management team that oversees all pricing, valuation, risk management and risk modeling
77

Market Risk Manager Resume Examples & Samples

  • Monitor and manage risk across AHL portfolios
  • Work with all areas within the business to resolve risk issues as they arise
  • To further develop the AHL risk management process and broaden awareness and good risk management practises across all functions in AHL
  • Assist in building out the broader risk framework and analytical infrastructure
  • Assist with regulatory and marketing requests
  • Conduct research into new risk measurement and risk management techniques
  • At least 2 years Risk Management experience
  • Python or similar programming skills
  • Cross market experience including Rates, Foreign Exchange, Equities, Volatility and Commodities
  • A detailed understanding of VAR modelling
  • An innovator and excellent communicator
  • Very strong academics with relevant post graduate qualifications
78

Market Risk Manager Flow Rates Resume Examples & Samples

  • Identification and investigation of changes to risk profile, including analysis of VaR and stress drivers. Communication of findings to management
  • Keeping abreast of relevant market events and drivers
  • Familiarity with rates products and markets, and rate portfolio risk profiles, including understanding of Greeks and impact on VaR
  • At least 3 years� experience in a risk or control related function in financial services institution
  • Takes initiative and is proactive
79

Portfolio Market Risk Manager Resume Examples & Samples

  • Identify and analyze risk across all business areas and asset classes
  • Daily analysis and commentary on VaR, S-VaR, exposure and stress testing metrics
  • Work with external groups to present changes in management risk metrics
  • Participate in stress scenario development, including risk identification, scenario design, and analysis of stress test results
  • Create and deliver presentations designed to articulate key risks to senior management
  • Suitable candidates will have an excellent academic background, including a degree in a quantitative discipline, such as economics, finance, or engineering
  • Diligence, with strong quantitative and investigative skills
  • Ability to develop strong working relationships and communicate clearly
  • Candidates will be expected to show good judgment of risks and a solid understanding of financial products and risk management concepts such as VaR, stress testing, and scenario analysis
  • Strong IT skills are required to facilitate data analysis; competence with SQL, R, MS Office Suite and VBA is required
  • A general understanding of regulatory capital frameworks, such as Basel 3, is ideal
80

CVA RWA Junior Market Risk Manager Resume Examples & Samples

  • Understanding risk models used for CVA RWA calculations
  • Assess changes to CVA VaR and understanding how they are driven by exposure and market moves
  • Understanding products used for CVA hedging and regulatory criteria for hedges eligibility
  • Providing support in planning and monitoring internal and regulatory capital adequacy as well as CVA RWA utilisation
  • Carrying out ad-hoc analysis, e.g. running stress scenarios related to anticipated market events (like Brexit referendum or US Election)
  • Preferably 1-2 years of risk management related experience, however strong graduate candidates will also be considered
  • Understanding of Market Risk Management for derivative products; and / or CVA / Counterparty Credit Risk would be an advantage
  • Risk management related certificates are desirable (e.g. FRM, PRIMA/PRM or CFA)
81

CVA RWA Market Risk Manager Resume Examples & Samples

  • Reviewing and signing off CVA VaR figures; understanding how they are driven by exposure and market moves
  • Understanding products used for CVA hedging and advising on eligibility of including hedges for CVA RWA calculations
  • Approving CS01, CVA VaR and hedge inputs
  • 3-4 years of Market Risk Management experience
  • Good understanding of Market Risk for derivative products (preferably for Credit derivatives)
  • Understanding of CVA / Counterparty Credit Risk would be an advantage
  • Solid numerical / quantitative and Excel skills (preferably including VBA)
  • Very solid written and verbal English communication skills
  • Risk management related certificates are desirable (e.g. FRM, PRIMA/PRM, or CFA)
82

Market Risk Manager Resume Examples & Samples

  • Assessment of key risk measures including VaR and sensitivities to ensure accuracy and reasonableness
  • P&L analysis including identification of key drivers
  • Development of new reports for use both internally within MRD and reporting to various Committees
  • Review and consolidation of existing reports
  • Review of benchmarks used in risk calculations
  • Limit monitoring, analysis and reporting
  • Ensuring adherence to market risk controls
  • Involvement in regulatory projects such as FDSF
  • Ad-hoc risk management projects including back testing analysis
  • Suitable candidates will have an excellent academic background, including a degree in a quantitative discipline, such as economics, finance, statistics/mathematics, sciences or engineering
  • The role involves working closely with several other areas including IT, Risk Infrastructure, Model Risk and therefore the candidate must be able to develop strong working relationships and be able to communicate clearly, both in writing and verbally
83

Avp-market Risk Manager, Shanghai Resume Examples & Samples

  • Bring all significant market risks to the attention of senior management
  • Challenge, where appropriate, the market risks being taken by trading desks
  • Develop and maintain the trading limits structure and control framework
  • Perform stress testing across the businesses
  • Market Risk Management also takes a central role in approving new products marketed and traded by the Investment Bank
  • Work independently in undertaking risk analysis of the Macro portfolio risk in Greater China, which is a dynamic/volatile market. It requires not only superb analytical skills but also up-to-date understandings of the China markets and all the specific local rules and government policies. Such analysis is sometimes required to be undertaken at short notice in response to market events
  • Perform quantitative and qualitative analysis, both on a daily basis as well as in an emerging market situation. Developing relevant stress test scenarios, which ensure all risk factors are captured, and determine circumstances under which the portfolio could incur material losses (i.e. “no surprise”)
  • As the on-the-ground risk managers, the role will have frequent interactions with on-shore traders and challenge them on risk taking decisions when appropriate. Also, the role will represent the bank in dealing with external regulators on all local regulatory issues. This requires working closely with senior local management, including Shanghai branch CEO, and meeting local regulators on a regular basis. I.e. requires a display of certain amount of gravitas – to hold his/her own in an argument/discussion with senior business counterparts as well as external regulators
  • Make weekly update of market moves, market events and top risk of the portfolios to the Head of Market Risk Asia Pacific, which will be used to make a consolidated risk assessment for the Region. Similarly, periodic presentations are made to the Global Product Risk managers on the risk profile of our Greater China businesses
  • In conformance with the Enterprise Risk Management Framework, ensure that risks are not just identified and reported but monitored proactively with active engagement with the Trading desks to manage to a conclusion. As a second line of defence, this is an important role of the Risk team
  • Sign off on Value at Risk at various levels of hierarchy, where appropriate, take a decision to request re-run the calculation or roll-over of risk. This is an important function which ensures correct calculation of RWA & capital adequacy - with important regulatory implications
  • Responsibility also includes implementing global and managing local Market Risk projects, as well as supporting Asia Market Risk team in reports production. This requires working with Risk Managers across different asset classes, liaising with RIS, Product Control Group and IT teams etc
84

Securities Lending Non-market Risk Manager Resume Examples & Samples

  • Implement and manage the policies and procedures for the business unit risks of BRM from a holistic perspective including all its functions such as the securities lending business and repo business
  • Advising senior members of BRM in relation to managing risk
  • Providing risk guidance and approval for all BRM-related New Product Approvals and initiatives
  • Providing risk oversight for all key risk indicators for BRM
  • Providing risk oversight for regulatory and market infrastructure changes affecting BRM
  • Involvement in regulatory enquiries, compliance test checks and internal audits
  • Oversight of business booked-remotely onto UK Group entities
  • Oversight of trader mandates
85

Market Risk Manager Resume Examples & Samples

  • Daily monitoring of risk, stress and Value at Risk (VaR) exposures
  • Developing and implementing Risks not in VaR (RNIV) and Stress Testing analyses
  • Ensuring internal and external governance policies are being effectively applied
  • Liaising with Front Office with respect to exposures, new business and market activity
  • Liaising with and supporting other risk management functions such as Methodology, Portfolio, Market Data and associated Working Groups and Committees
  • Providing Market Risk feedback and steer with respect to various Risk Change initiatives
  • Escalating issues or concerns promptly to Senior Management
  • Experience as a Market Risk Manager with a focus on traded derivative products in the rates and / or commodities asset classes
  • A very strong background in markets-related roles with an emphasis on market risk management
  • A strong understanding of market risk controls and governance frameworks
  • Good knowledge of industry standard interest rates and / or commodity derivative pricing models
  • Good knowledge of commonly traded interest rates and / or commodity products including rationales, flows and risks (including structural, non-linear, cross, model etc)
  • Experience in identifying, quantifying and implementing RNIVs
  • Experience in assessing, quantifying and implementing appropriate portfolio stress tests
  • Experience in defining, assessing and implementing limits
  • A working knowledge of economic and regulatory capital
  • Familiarity with current regulatory initiatives such as Fundamental Review of the Trading Book (FRTB), Volker, Stress Tests
  • Detail and process-orientated
  • Ability to take ownership of role and operate autonomously
  • Excellent time management and ability prioritise workloads appropriately
  • Strong technical and analysis skills – Excel, Visual Basic Access (VBA) and Structured Query Language (SQL), statistics, time series
  • Educated to Bachelor’s degree level or higher with a concentration in Maths, Physics, Engineering, Quantitative Finance or similar (or equivalent qualification / work experience)
  • A strong desire to advance and develop as a FO-facing Market Risk Manager
86

Treasury Market Risk Manager Resume Examples & Samples

  • Excellent PC skills, ideally with programming and database skills (MS Office, VB)
  • Excellent communication skills (written and oral) and the ability to confidently articulate complex issues at an intuitive level
  • Excellent analytical skills in terms of determining the appropriate analysis to undertake and its execution
  • Ability to think creatively and to challenge the norm
  • Good awareness of the business, market, regulatory and economic environment
  • ALM/Treasury experience or other relevant experience in finance
  • Understanding of interest rate and liquidity risks, FTP and funding risk
  • Extremely strong analytical skills
  • Proficient in VBA
  • Knowledge of the products and services offered by a major banks, the inherent risks and how to mitigate them
  • Knowledge of the development and application of market risk management models and measures, such as value at risk, earnings at risk, etc
  • Degree / MSc in a quantitative discipline
  • Experience of the risk management activities of Treasury or Balance Sheet Management function
  • Experience of risk monitoring and control frameworks
  • Experience of financial products
  • Knowledge of derivatives and structured products (including swaps and options), their pricing and their use in market risk management
  • Understanding of mechanisms for quantifying and hedging direct and indirect non-traded market risks
  • Knowledge of the principles behind transfer pricing and stress testing
  • Knowledge of key regulations (e.g. Basel 3, IAS39, etc) and how they apply to market risk and liquidity risk
  • Understanding of the application of stochastic processes, including Monte Carlo analysis of interest rates and other indices
  • Ability to communicate complex issues confidently, clearly and concisely to Senior Executives / Risk Professionals within the Bank
87

XVA Market Risk Manager Resume Examples & Samples

  • Market Risk Manager in MLRM London
  • Covering the XVA Management Trading desk, a global desk with 30+ traders, covering hedging and pricing of XVA (CVA, DVA, FVA & CAV) as well as various Capital Management hedging and optimization initiatives
  • Pre-trade approval of complex and material transactions
  • Stress scenario development
  • Limit development and monitoring
  • Contribute to improvement of existing processes to include capital calculations, risk estimations, valuation model assumptions, approval processes, limit structures and scenario methodologies
  • Market and Liquidity Risk Management (“MLRM”) is an independent function responsible for the management of market and liquidity risk in the Investment Bank
  • Understand how Trading view, price and manage risk
  • Attend trading risk calls and maintain ongoing close communication with Trading
  • Provide effective challenge of trading risk, hedging strategies and methodologies
88

Rates Market Risk Manager Resume Examples & Samples

  • Provide independent oversight and control of Rates market risks
  • Continuously review limit and reporting framework to ensure appropriateness in light of risk appetite, new trades, businesses, products risk factors and market conditions and opportunities
  • Continuously monitor the financial markets and measure the impact on MS’s portfolio, including analysing trading strategies and assessing material weaknesses or overlooked risks and hedging strategies
  • Develop a suite of comprehensive stress tests that highlight all key risks
  • Assess the suitability and performance of pricing, risk and capital models. Work with relevant groups to address material deficiencies
  • Understand P&L drivers and construct any necessary tools to facilitate risk and P&L analysis
  • Work directly with, and develop effective and constructive working relationships with a diverse set of stakeholders including: Sales and Trading, Business Unit Risk Management, Desk Strategists, Finance, Compliance, Technology and Operations
89

Market Risk Manager Resume Examples & Samples

  • Daily monitoring of risk, stress and Value-at-Risk (VaR) exposures
  • Liaising with trading desks with respect to exposures, new business and market activity
  • Liaising with and supporting other Risk management functions such as Methodology, Portfolio, Market Data and associated Working Groups and Committees
  • Experienced Market Risk Manager with a focus on traded exotic products in the Rates and / or Hybrids asset classes
  • Strong experience in markets-related roles with an emphasis on market risk management
  • Excellent time management and the ability to prioritise workloads appropriately
  • Strong technical and analysis skills, including Excel, VBA, statistics, time series
90

Market Risk Manager Resume Examples & Samples

  • 4yrs+ of relevant experience in the rates markets with good knowledge of the markets, products and risk. Good quantitative level of experience with rate products and their risks
  • Strong relationship management and liaison with business people of all levels. But must be willing to challenge as needed, particularly front office
  • Good presentation and communication skills
  • At least Bachelor level degree, Masters or PhD can be useful. Familiarity with financial or statistical modeling is beneficial
  • Strong experience and facility with Excel including VBA and add-in functions, ideally with experience of using financial pricing functions
91

Market Risk Manager Resume Examples & Samples

  • Providing analysis of new trades in the Equity business
  • Liaising with Front Office and other risk functions to understand and challenge the risk rewards of transactions
  • Understanding marginal impact on Risk Weighted Assets and economic capital
  • Providing daily analysis of risk reports, challenging the desk and escalating risk concentrations when appropriate
  • Providing ad-hoc book and product analysis
  • Ensuring regular review of risk factors
  • Actively engaged on new regulatory projects
  • Improving current risk models such as Value at Risk (VaR)
  • Knowledge of derivatives products and pricing
  • Understanding of market risk
  • The ability to multitask and prioritise whilst being responsive to ad-hoc requests
  • High professional and ethical standards
  • Interested in financial markets (especially derivative pricing) demonstrated by qualifications and experience
  • Able to respond to changing priorities and work to urgent demands
  • Proficient in the English language, both written and oral
  • Experience in Equity Derivatives (beneficial)
92

Cbna GF Volcker Rule Market Risk Manager Resume Examples & Samples

  • University graduate in Finance, Accounting, Risk Management related disciplines or quantitative subject
  • A significant number of years relevant working experience in Risk
  • Strong analytical skills, knowledge of market risk measurements and good attention to detail
  • Ability to respond quickly to ad hoc risk enquiries, proactively ensure data quality by identifying potential issues and operate with limited supervision
  • Team player with good interpersonal and communication skills, as the role requires interaction with traders, senior management and various constituents across business and support functions
  • A willingness to take an active involvement in day-to-day activity and flexibility in addressing a number of projects simultaneously
  • Strong proficiency in written and spoken English
93

BRM Non-market Risk Manager Resume Examples & Samples

  • Implement and manage the policies and procedures for the business unit risks of BRM which fall under the rubric of Fixed Income activities which such as the repo business and the CVA hedging book
  • Advising senior members of BRM and FID in relation to managing risk
  • Providing risk guidance and approval for all FI-related New Product Approvals and initiatives undertaken by BRM
  • Providing risk oversight for key risk indicators for BRM
  • Design and implementation of control solutions, which includes enabling business development in a risk-controlled manner
94

Market Risk Manager Resume Examples & Samples

  • As part of Unite ING contribute to the transformation of the ALM function into one global ALM solution
  • Contribute to state of the art ALM replication and reporting process and analytics tooling
  • Analysis and consolidation of the DB NL market risk figures, NII forecasting, scenario analysis and stress testing, and reporting these figures to FR, Asset and Liability Committee and CRO staff
  • Improve hedging- and cost pricing models (prepayment risk, offer risk, liquidity spread risk, value of savings, economic capital)
95

Senior Market Risk Manager Resume Examples & Samples

  • Provide oversight for market risk for IR products for NWM US
  • Collaboration on oversight of market risk across asset classes (FX, Traded Credit, and Treasury) for NWM US
  • Review and analyse trading strategies and inventory
  • Identify key risks and improve control framework
  • Communicate with the desk regarding the market risk exposures and limits
  • Present concise risk analysis to upper management, highlighting areas of concern
  • Analyse and explain to the business their market risk capital usage
  • Coordinate the global delivery of the market risk programme within NWM US
  • Oversight and training of junior risk-managers
  • 5+ years risk management experience + leadership role in Market Risk at a major financial institution
  • Solid understanding of interest rate, fx and credit instruments, and their risk decomposition
  • Good understanding of VaR, SVaR and stress methodologies, and regulatory capital framework
  • Excellent communication skills and ability to engage with traders and other functions
  • Degree in quantitative discipline – advanced degree desirable
96

Market Risk Manager, VaR Projects Resume Examples & Samples

  • Providing technical analysis of market risk profiles, understanding the key risk drivers and how they are processed through the VaR model
  • Working closely with key stakeholders including IT, Strategists, Risk Analytics and Risk Managers to successfully deliver various VaR related projects
  • Assisting in the development and enhancement of the market risk framework
  • Assisting in the development and enhancement of market risk reporting ensuring appropriateness
  • In depth knowledge of financial products, including an understanding of risk representations (greeks)
  • Detailed knowledge of VaR, Backtesting and Stress Testing
  • Excellent academic background, including a degree in a quantitative discipline, such as statistics, mathematics, sciences or engineering
  • Proactive with the ability to work effectively on both an individual basis and as part of the wider team
97

Market Risk Manager, Emerging Markets Resume Examples & Samples

  • Taking ownership of the risk portfolio and market risk metrics (sensitivities, value at risk (VaR), stressed VAR (SVaR), IRC, Stress Test, MR RWA); ensuring risk-reward alignment
  • Communicating and influencing key risk takers including America’s Heads of EMD and Heads of Trading in local entities
  • Identifying and communicating key risks and events affecting portfolio to senior management
  • Leading and developing a team
  • Communicating with Regulators
  • Reviewing and approving new trades and products
  • Identifying gaps in risk coverage, measurement and / or methodologies and implementing remediation’s
  • Assisting with production of current and new risk deliverables
  • Working with other support groups to improve risk infrastructure
  • Ensuring resources are efficiently utilised and allocated
  • Good experience in Risk Management
  • Experience in team management
  • Excellent quantitative and analytical aptitude
  • High proficiency in written and verbal communication (in English)
  • Ability to take on responsibility and work under pressure
  • Ability to work autonomously and also be a team player
  • Strong knowledge of financial markets and risks
  • Good understanding on pricing for linear and non-linear products
  • Excellent knowledge of Microsoft Excel
  • Visual Basic Access (VBA) or other programming (beneficial)
  • Knowledge of Access or similar database (beneficial)
  • Educated to Bachelor degree level (or equivalent qualification / work experience), Post graduate education beneficial
  • Fluent in English. Knowledge of EM language will be beneficial
98

Senior Market Risk Manager Resume Examples & Samples

  • Analysing, monitoring and reporting on the activities of Markets and Treasury in the Netherlands, where relevant in conjuncture with other departments
  • Advising on improvements in the risk management framework; provide input to new (integrated) risk management policies, methodologies and measurements
  • Building and maintaining a pro-active relationship with front-office in performing the 2nd line monitoring and control for Markets and Treasury
  • Managing and contributing to analyses and advising upon new business proposals, non-standard transactions, counterparties, portfolio correlations and concentrations
  • Make available or restrict the use of approved risk trading limits based on a pro-active risk assessment
  • Evaluate adverse (stress) scenarios and pro-actively formulate and discuss exit and risk reduction possibilities
  • Contributing to consultation platforms and decision making bodies relevant to Markets and Treasury e.g. Risk Committee Treasury/Markets and New Business/Product Approval Committee
  • Deliver results
99

Market Risk Manager, WTG & Casc Resume Examples & Samples

  • Strengthen the our risk culture by expanding the risk-reward mindset and enhancing earnings through risk insights
  • Provide meaningful portfolio visibility to support an integrated operating approach
  • Promote an engaging risk culture and be recognized for best-in-class risk expertise
  • Able to attract and develop top talent for Cargill
  • 60% Engage with the business to drive sound risk management processes, Quantification and understanding of business risks and insight that support improved business performance
  • 15% Partner with the Enterprise Risk Manager and other group or business risk managers within the enterprise
  • 10% Build strong, collaborative relationships with key enterprise and functional leaders
  • 3-5 plus years of trading, market risk, FP&A, market analytics, or equivalent in a financial or commodity trading environment
  • The ideal candidate should be detail-focused, process-oriented and possess excellent data management and report development ability
  • Demonstrated strong interest in commodity markets and commodity risk management
  • Should have proven ability to operate in a complex trading environment and manage conflicting demands
  • Candidate will be commercial minded with a keen understanding of how their business experiences profit and loss
  • Have demonstrated the ability and desire to learn and apply new concepts and methods and a naturally inquisitive mind
  • Self-starter, unafraid to query, question, or challenge assumptions
  • Comfortable providing and defending analysis where there is ambiguity
  • Adaptable and well-rounded individual
  • Excellent data management skill
  • Excellent report development ability
100

Market Risk Manager Resume Examples & Samples

  • Business knowledge: Knowledge of counterparty credit risk concepts including CVA/DVA/FVA/RWA pricing at portfolio level. Knowledge of EPE/ENE/EE profiles and MTM grid generation. Drivers for portfolio exposure and underlying risk factors including cross risk
  • Product Knowledge: In-depth understanding linear and non-linear products like Futures, Option, Swaption, IRS, Bond, CDS etc. Deep understanding of Option Greeks and its underlying dynamics
  • Technical Knowledge: High level understanding of MS Excel, VBA coding. Knowledge of basic statistical concepts like correlation, regression would be an added plus
  • Soft skills: Risk Managers need to work with different teams. Excellent written and verbal skills are expected