Markets Risk Analytics Manager

Location: Sydney, New South Wales
Contract Type: Contract
Specialisation: Banking & Financial Services
Salary: Negotiable
REF: BBBH236825_1568875641

The Manager of Market Risk Analytics is responsible for the following key activities but not limited to:

  • Running efficent BAU procedures
  • Design and development of enhancements to Market Risk infrastructure
  • Running efficient BAU procedures
  • Market Risk calculations, risk analysis and the distribution of information to risk managers
  • Stakeholder engagement and acting as the pivot point between the Market Risk and Technology teams
  • Using technical languages to analyse Traded Market Risk and Portfolio exposure

The successful candidate will ideally possess the following:

  • Strong understanding of financial products, with a particular focus on risk and market risk
  • A post graduate qualification in Finance, Mathematics, Statistics or Engineering would be highly regarded
  • Strong knowledge and proficiency in programming languages - Python, R, SQL, C ++, VBA
  • Excellent numerical and analytical skills

For a confidential discussion or more detailed information, please contact Dijana Macinko on 9249 5008 or APPLY NOW