JOB DESCRIPTION / ROLE
The candidate will be acting within the Market Risk Management team which includes areas such as Risk Analysis of Treasury Products and Investment Proposals, ALCO related matters, Market Risk Policies and Interaction with the Front Office Trading Team.
This is with a leading international bulge bracket bank based in Dubai's DIFC. Client is looking for an experienced hands-on front office risk manager with experience in fixed income, structured products and credit products.
The role reports to the MENA Regional Head of Risk Management and involves management responsibility for 2 direct reports. This is a role with a high degree of front office interaction, covering market and traded credit risk, amongst other aspects of risk and middle office responsibilities.
REQUIREMENTS
- Financial instruments and risk measurement methods and models.
- Comprehensive knowledge of derivative risk management, Greeks and sensitivity analysis.
- Statistics and simulation methods.
- Credit Risk quantitative methods.
- Market and Liquidity risk measurement.
- Ability to coach and manage others.
- Team player.
- Mature market experience is preferred.
ABOUT THE COMPANY
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