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Senior Market Risk Manager
2 months ago
- Oversee the market and interest rate risk management team to execute various functions related to market and interest rate risk.
- Evaluate and supervise market and interest rate risk treasury operations.
- Generate comprehensive reports for senior management and the Board of Directors.
- Engage with regulatory bodies and auditors.
- Lead or participate in projects focused on market and interest rate risk.
- Bachelor's or Master's degree in Finance, Risk Management, Statistics, or Quantitative Analysis.
- Professional certifications such as FRM and CFA are preferred.
- A minimum of 8 years of relevant experience in the field.
- Extensive understanding of financial products, including FX, Interest Rate, Equities, and various derivatives.
- Strong background in treasury risk management systems.
- Familiarity with data science and Fintech analytical tools.
- Demonstrated ability to work independently under pressure while collaborating effectively with colleagues and business partners.