Jumat, 23 Maret 2012

Market Risk Manager – Non-Traded / Balance Sheet Risk

This is an excellent opportunity to join an expanding global Investment Bank as it seeks to recruit an experienced risk manager to manage the market risk for its entire non-traded business in the US!
Global Investment Bank, New York
Market Risk Management


KEY SKILLS & EXPERIENCE:
  • 3-5yrs in risk management
  • Strong exposure in banking / treasury and balance sheet market risk
  • FX / FXO experience essential, Commodities experience desirable
  • Liquidity management experience
  • Degree educated in Economics, Maths, Statistics or a similar field
  • Very strong communication / decision-making skills
  • LATAM experience advantageous

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