Description:
Job Opportunity: Product Risk AnalystReporting to: Risk ManagementJob Purpose:Our client is looking for a proactive and detail-oriented Product Risk Analyst to join their risk management team. This is a fantastic opportunity for an individual with product and/or market risk experience to contribute to managing and controlling front-line trading risks. The role will involve ensuring senior management has a clear understanding of the risk-reward profile of the trading books, as well as accurately valuing physical exposures such as oil cargoes, electricity generation, and gas deliveries. Experience in product and/or market risk is a mandatory requirement for this role.As a Product Risk Analyst, you will collaborate with London Risk Managers, Senior Risk Management, and traders, supporting risk reporting, data analysis, and system development, all within a fast-paced environment. Key Responsibilities:- Communicate and collaborate effectively with London Risk Managers, Senior Risk Management, and traders.
- Generate and analyze daily risk reports, including the desk’s P&L.
- Assist in developing and optimizing systems, processes, and reporting mechanisms.
- Present findings to traders and senior management in a clear, actionable manner.
- Proactively identify potential issues, ensuring reports are accurate and risks are mitigated.
- Engage with London Risk Managers and Senior Risk Management teams to discuss issues logically and clearly.
- Present complex issues to teams in a concise and understandable format.
- Perform ad-hoc tasks and duties as required by the team.
- A relevant Bachelor’s degree.
- Preference will be given to candidates with a background in Finance, Risk Management, Economics, Computer Science, or Engineering (Electrical, Mechanical, Chemical).
- Experience in product and/or market risk is an absolute must .
Please send your CV to lolroux@networkfinance.co.za .
If you do not hear from us within two weeks, please consider your application unsuccessful.
Requirements:
- Communicate and collaborate effectively with London Risk Managers, Senior Risk Management, and traders.
- Generate and analyze daily risk reports, including the desk’s P&L.
- Assist in developing and optimizing systems, processes, and reporting mechanisms.
- Present findings to traders and senior management in a clear, actionable manner.
- Proactively identify potential issues, ensuring reports are accurate and risks are mitigated.
- Engage with London Risk Managers and Senior Risk Management teams to discuss issues logically and clearly.
- Present complex issues to teams in a concise and understandable format.
- Perform ad-hoc tasks and duties as required by the team.
- A relevant Bachelor’s degree.
- Preference will be given to candidates with a background in Finance, Risk Management, Economics, Computer Science, or Engineering (Electrical, Mechanical, Chemical).
- Experience in product and/or market risk is an absolute must .
17 Mar 2025;
from:
careers24.com