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Global Investment Bank is looking to hire a Risk Manager within their Global Equity Risk Management group.
This person will be responsible for identifying, reporting, monitoring and analyzing key market risks; Lead the development and implementation of risk measurement methodology, infrastructure and control framework; Perform various risk analyses such as stress testing. Candidates must have a strong understanding of a broad range of equity derivative products traded in the global financial markets.
Requirements include an advanced degree in finance, mathematics, statistics, engineering, physics or other quantitative discipline. Candidates must have outstanding quantitative, analytical and problem solving skills. 3-5 years of experience in a trading environment (especially risk/derivative-related) of the overall experience at least 2 years in risk management. Must have an in depth understanding of financial engineering concepts including financial risk management (VaR, portfolio hedging), options pricing theory, and securities valuation methodologies. Strong SQL, VBA, Excel skills are critical.
For more information or immediate consideration please refer to Job#JCK658 and submit resume in Word format to: ian@comprehensiverecruiting.com
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