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Market Risk Analyst

  • Job type: Permanent
  • Location: Berlin
  • Salary: Competitive
  • Job reference: CRHS020320181546
  • Sector: Banking and Finance, Risk Management, Selby Jennings
  • Date posted: 02/03/2018
  • Market Risk Analyst | Cross Asset – Project Based
  • Berlin
Experienced Market Risk Reporting Analyst required to support the Market Risk Reporting and Analytics manager within the Group Market Risk division of a major international bank.

A top investment bank is looking to add a risk specialist for its market risk group. The team are looking to expand with this new hire and need candidates who are driven along with wanting to add value to an already successful group. This role will provide exposure to a range of different asset classes and senior management.

This role is an excellent opportunity to move into a top institution and gain exposure to a range of different trading desks in the front office. You will have extensive involvement in enhancing the risk reporting procedures and overhauling daily practices for this function.

The market risk manager in this position has the following responsibilities:
  • Complete, timely and accurate capture of Market Risk Information
  • Generating daily market risk reports covering VaR, sensitivities and stress testing
  • Challenge, analyse and understand changes to the Group’s risk exposures
  • The co-ordination and preparation of weekly and monthly reports for senior management, committees, etc.
  • Run and test reconciliations and checks to support the accuracy and completeness of market risk reporting
  • Maintain the Group’s market risk systems as required
  • Conduct various tasks and projects as appropriate
  • Ensure adherence with all relevant market risk policies and procedures
This Group is looking for someone that operates well in a team environment and has good attention to detail. You will need strong Excel skills, VBA and excellent communication skills. Experience of project work is useful.

The role requires basic knowledge of VaR, direct experience of market risk management techniques, ideally gained within a large international banking group. You will be good at both identifying and solving problems, excellent at prioritising work and have strong analytical skills.

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