Market Risk Sr. Manager


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.







Description

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.




Job contact details

Maria Barbakadze



Candidate selection criteria

Professional Experience*

5 years (Required)


Education

MBA (Optional)

Undergraduate (Required)

Languages

English: Fluent (Required)