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Commodities Market Risk Manager, London

Michael Page
  • UK - London - London
  • 60000
  • Full-Time Permanent
  • Financial Services - Equities
  • 25-08-08

Job Description

The role for the Market Risk Manager will befocused on the London operations of this expanding Emerging Markets Bank's London portfolio.

The role will involve all the traditional functions associated with a Market Risk role, but will also focus on:

- enhancing the company wide framework for measuring, monitoring and evaluating the quantifiable market risks.
- ensuring consistency of risk policies across the group.
- leading the risk team, or have the ability to in a short space of time.
- overseeing the development of Capital at Risk limits.
- ensuring implementation of the decisions made by the risk management function.
- effectively communicating the risk exposure and maintain the relationships with senior management.
The ideal candidate will possess:
- direct Physical Commodities experience is essential - Metals, Soft, and/or Energy.
- extensive Market Risk experience with an understanding or direct application of Credit risks.
- the knowledge, expertise and confidence to impose Risk Control as required
- the ability to liaise closely with senior management.
- analytical and entrepreneurial skills to observe transactions and quantify wider risks independently.
- proven management experience within a global institution.
Leading Emerging Markets Investment Bank
Competitive Package

Michael Page International is a world leading recruitment consultancy.
  • Andrew Gibson
  • MPFP13005304
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