A Global Financial Services business is looking for a Senior Risk Manager to manage its most high-profile business line and you will lead a small team and strengthen the market risk business. if you come from a frontoffice trading environment would be beneficial.
STARTING DATE: ASAP
Skills / Experience Required:
- Understanding of financial instruments and derivatives valuation and/or risk management techniques and must have implemented this
- Fixed Income experience
- 10-15 years of experience
- VaR or backtesting implementation
- Sovereign Bonds and Repos markets exposure
- Liquidity risk management, collateral risk management
- A senior individual with very good market experience
- Solid quantitative skills
- Programming – will be 10-15% programming (Python)
- Value at risk models implantations
- If you come from a Front office/trading environment, it would be beneficial
- Someone who can speak English as there will be presentations to the senior executive board members who are French and English
Hybrid working on-site and home
Location: Paris
Salary: € Competitive + Bonus + 52 days holiday
REFER A FRIEND
If you're interested in this opportunity, forward you're CV ASAP. Alternatively, if you would like to know more information or have a confidential discussion please contact Shanaz Rob - call on +44 (0)203 603 4474 or shanaz.rob@srinvestmentpartners.com for more details