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Manager Market Risk

Job Title: Manager Market Risk
Contract Type: Permanent
Location: Sydney
Reference: 2744837
Contact Email:
Job Published: May 23, 2018 21:45

Job Description

A market leader in banking that is renowned for its dynamic work environment is looking for a Manager Risk Analytics & Reporting. This is a senior role where the successful candidate will demonstrate an interest and awareness of financial traded products, including fixed income, interest rate, foreign exchange, commodity and equity products, and understand the impact of market events on market risk measurement.
Alongside this financial markets knowledge, you will have previously worked infinancial services or as an analyst that will enable you to support an operational framework, which provides management with clear and concise risk analytics and reporting. 
You will be producing traded market risk exposure reports including VaR and Stress Testing and supporting key stakeholders throughout the market risk team. You will also bring new ideas to develop new processes to produce timely reports and progress work practices that improve productivity and show an enthusiasm for personal development. 
If you are enthusiastic, an excellent communicator, describe yourself as a diligent, engaged and a hard working with a sound knowledge and passion for financial markets then this may be the ideal opportunity for you to become a part of a leading business, and to work alongside some market risk industry leaders. 
SQL and VBA skills would be highly regarded.

If you have suitable experience for this role then please contact Liam from Perigon on 9775 5930 or at

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