Responsibilities: - Key responsibilities include analysis and reporting of market risk for overall region across LOBs and asset classes, overseeing regional market risk reports and key management updates
- Review, analyze, and monitor regional market risk portfolio and summarize key updates in executive reporting
- Lead cross-asset class risk analysis, deep dives and project work related to Global Markets
- Develop response to risk related queries from internal or external stakeholders, and perform market risk exposures analysis, drill downs and/or risk trend analysis.
- Lead and participate in key and strategic initiatives as well as issues management. Effectively and efficiently coordinates and drives execution of key priorities.
Requirements 8-10+ years in market risk management, related functions or equivalent experience, with deep knowledge of market and counterparty risk management
- Strong knowledge of equites and/or fixed income asset classes
- Understanding of regulatory environment affecting the financial industry and the impact on market and counterparty risk management
- Excellent analytical and problem solving skills and is proactive in challenging the status quo and driving improvements
- Excellent verbal and written communication skills, including proven ability to develop executive ready communications and presentations