Senior Risk Manager in the Risk Management function of Equity Finance
The Equity Finance business covers prime brokerage, equity swaps, stock lending
and exchange traded derivatives Responsibilities include: managing pricing, hedging
and margin rule issues arising from the daily margin requirement process; implementing
new procedures to improve the accuracy and timeliness of client portfolio and
margin requirement reports; actively participating in the development of systems
and methodologies; responding to client requests for enhanced cross-margining
capabilities; educating staff on risk/margin framework; actively participating
in marketing and pitching to potential clients; contributing to the development
of margin rules and risk analysis; identifying and proposing solutions to mitigate
operational risks; liasing with Senior Management, Sales, Collateral Management,
Account Managers, Corporate Actions, Credit Risk Control and IT on the above.
Requirements: - University education (100%); - professional training or experience
with external/senior internal clients (90%); - strong quantitative skills (100%);
- strong written and oral presentation skills (75%); - experience with equity
products and trading strategies (100%; but could be lower if experience with fixed
income products); - experience with fixed income products and strategies would
be an advantage (50%; but must be higher if experience with equity products is
lower than 100%); - strong internal control awareness (50%); - strong interpersonal
skills (75%).
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