Description:
My client is looking for a proactive and detail-oriented Product Risk Analyst to join their risk management team. This is an excellent opportunity to gain in-depth experience in risk analysis, focusing on controlling front-line trading and ensuring senior management has a clear understanding of the risk-reward profile of trading books. Additionally, you will be responsible for ensuring the accurate valuation of physical exposures, such as oil cargoes, electricity generation, and gas deliveries.The ideal candidate will support risk reporting, data analysis, and system development while working closely with London Risk Managers, Senior Risk Management, and traders. You will play a key role in driving the team’s success within a fast-paced environment. Key Responsibilities:- Collaborate proactively with London Risk Managers, Senior Risk Management, and traders to ensure clear communication.
- Generate and calculate daily risk reports, including the desk’s P&L.
- Assist in developing and optimizing systems, processes, and reports.
- Present findings to traders and senior management in a clear, concise manner.
- Identify and communicate potential risks or issues proactively to ensure accuracy in reports.
- Engage regularly with London teams to discuss and resolve any issues.
- Present complex risk information to senior teams in an understandable format.
- Perform ad-hoc duties as needed by the team.
- A relevant Bachelor’s degree.
- Preference will be given to candidates with a degree in Finance, Risk Management, Economics, Computer Science, or Engineering (Electrical, Mechanical, Chemical).
Please send your CV to lolroux@networkfinance.co.za .
If you don’t hear from us within two weeks, please consider your application unsuccessful.
Requirements:
- Collaborate proactively with London Risk Managers, Senior Risk Management, and traders to ensure clear communication.
- Generate and calculate daily risk reports, including the desk’s P&L.
- Assist in developing and optimizing systems, processes, and reports.
- Present findings to traders and senior management in a clear, concise manner.
- Identify and communicate potential risks or issues proactively to ensure accuracy in reports.
- Engage regularly with London teams to discuss and resolve any issues.
- Present complex risk information to senior teams in an understandable format.
- Perform ad-hoc duties as needed by the team.
- A relevant Bachelor’s degree.
- Preference will be given to candidates with a degree in Finance, Risk Management, Economics, Computer Science, or Engineering (Electrical, Mechanical, Chemical).
17 Feb 2025;
from:
careers24.com