Market Risk Sr. Manager (В архиве)


Our client is an international financial institution with a dynamic western corporate culture. Market Risk Sr. Manager will be involved in setting-up of new projects within the company.







Описание

Responsibilities:

Market risk management system design;
VaR methodology implementation;
Calculation of new derivatives projects (including structured derivatives);
Close cooperation with business and treasury departments;
Limits set-up and control;
Development of methodology for risk processes;
Project management.

Requirements:

Higher education in Finance/Economics/Accounting; MBA will be an additional advantage;
+5 years of working experience in Market risk/Trading/Treasury;
Modeling skills;
Knowledge of IFRS and accounting processes as a plus;
Fluent English.




Контакты вакансии

Maria Barbakadze +7 (903) 276-65-95



Требования к кандидату

Профессиональный опыт*

5 лет (Обязательно)


Образование

MBA (Опционально)

Бакалавр / Специалист (Обязательно)

Знание языка

Английский: Свободный (Обязательно)