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Support the CEEMEA hub head in measuring, monitoring and independently managing market risks arising within Local Markets Business in the London hub.
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Requirements - Product coverage – All Market instruments including cash, derivatives.
- Communicate with trading desks to understand strategies, market moves & P&L drivers
- Review daily risk reports – identify errors in reporting. Analyse contributions to desk VaR, identify and analyse trading P&L drivers.
- Ensure compliance with Market Risk limits as agreed with Trading Desks and regulatory requirements.
- Analyse market liquidity
- Understand and aid implementation of regulatory directives.
- Participate in portfolio risk reviews.
- Aid regional head in setting up limits that reflect senior management risk appetite. Arrange for annual review of limits.
- Design scenarios to capture extreme losses.
- Review and approval of new products.
- Make snapshot reviews of any major event in the market and keep the regional team appraised.
- Interact with product control and raise issues of independent and accuracy in valuation methodology.
Responsibilities - Ensure market risk is properly reflected in daily risk report.
- Timely inform management of significant market movements, dramatic change in trading risk profile, sizeable P&L events and their contributors.
- Periodical performance of scenario analysis to capture “worst” case losses.
- Through improved risk reporting, enable a better management understanding of risks in the LM books
- Communicate timely with regional head any abnormal trading activities, dramatic change in market movement, significant change in risk profile, etc.
- Approve temporary limit excesses as per delegated authority.
- Provide analysis for decision making at higher level.
The Individual Essential - Experience in market risk management.
- Familiar with products traded in region: EM FX spot, forward, NDF, EM Credit and EM Sovereign Debt, EM Rates and Local government bonds.
- Excellent conversational and written English
- Degree or equivalent qualification in a numerate discipline
- Foundation level understanding of risk metrics, including ability to calculate these from ‘first principles’
- Knowledge of Emerging Markets
- Confident in excel and conversant with basic programming VBA
- Familiarity with Front Office systems
- Familiarity with risk management systems
Desirable - Trading background
- Professional qualification in a relevant programme, eg CFA, PRMIA, ACT/MCT, Securities Institute Certificate
- Familiarity with Front Office and Risk Management systems.
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