Senior Market Risk Manager Senior Market Risk Manager …

Taylor Root
in Amsterdam, Noord-Holland, Netherlands
Permanent, Full time
Last application, 14 Jul 19
Negotiable
Taylor Root
in Amsterdam, Noord-Holland, Netherlands
Permanent, Full time
Last application, 14 Jul 19
Negotiable
My client, a clearing house headquartered in Amsterdam is looking for a Senior Market Risk Manager to join their team based in Amsterdam. Reporting to the Deputy Chief Risk Officer, you will be part of an enthusiastic and experienced Risk Management team. Together with the team you are responsible for accurate, controlled and timely handling of the risk management activities.

My client, a clearing house headquartered in Amsterdam is looking for a Senior Market Risk Manager to join their team based in Amsterdam. Reporting to the Deputy Chief Risk Officer, you will be part of an enthusiastic and experienced Risk Management team. Together with the team you are responsible for accurate, controlled and timely handling of the risk management activities.

Responsibilities:

  • Risk oversight - Ensure risk management practices and procedures adhere to relevant risk standards and are effective for the safeguarding of the company at all times.
  • Risk policy - Ensure risk management policies are appropriate and compliant with all relevant regulatory requirements.
  • Risk management - Manage the business-as-usual risk aspects, including ensuring the adequacy of all market and liquidity risk models, stress testing, and default management processes.
  • Risk reporting - Ensure that all relevant risk analysis, including internal and external risk reporting, is delivered on a timely basis as required.
  • Risk projects - Manage the risk aspects of potential new cleared products and new services, assisting with seeking approval through the internal/external governance structure as appropriate.
  • Regulatory interactions - Actively engage with regulators to ensure that all relevant regulatory rules and recommendations are addressed.

Requirements:

  • Ideally experience within a clearing house
  • Bachelor or Masters degree in a relevant field (Finance, Economics etc.).
  • Knowledge and experience (min 6 years) in financial markets, risk management, and central clearing in particular.
  • Excellent English communication skills (written and oral).
  • Strong experience in risk analysis, risk models, and Excel/VBA applications.
  • Knowledge of the regulatory landscape is highly preferred.
  • Strong stakeholder management skills.
  • Experience in managing direct reports.

Please send your CV to phoebecheung@taylorroot.com

Please note our advertisements use PQE/salary levels purely as a guide. However we are happy to consider applications from all candidates who are able to demonstrate the skills necessary to fulfil the role.

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