Job Description
The following will be asked of you on the job:
You will oversee the Risk valuation of portfolios.You manage the compliance of all investment procedures on all Risk degrees.You deliver accurate reports before the set deadlines.You assess the Risk per Investment Category (Stress Tests and Value at Risk).You calculate the value of Over the Counter Derivatives.You manage relationships with new clients plus Risk Profile monitoring for them. The client is looking for the following in the candidate:
A Bachelor's Degree in Finance. Related studies are fine.OR 2 to 5+ years of experience as a Risk Manager.AND you are fluent in English AND French OR English AND German.You NEED to have knowledge of Value at Risk AND Credit/Liquidity/Market Risk. The client offers you the following;
Competitive pay, ranging from 60K to 120K, depending on seniority and experience.You join a leading Asset Mana...
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