Description:
Market Risk Senior Manager – Financial Risk Management Are you a seasoned market risk professional looking for a high-impact role where you can lead, innovate, and shape the future of financial risk management ? We’re looking for a Market Risk Senior Manager to join a dynamic and forward-thinking team that advises top financial institutions on market risk, liquidity risk, counterparty credit risk, and capital markets.What You’ll Do!
- Provide strategic insights and high-quality reporting on market risk, interest rate risk, liquidity risk, and counterparty credit risk
- Lead advisory engagements on quantitative risk management, financial regulations (IFRS2, IFRS9/IAS39, IFRS13), and derivative modeling
- Work with stakeholders across banking, trading, and risk management teams to optimize financial risk strategies
- Mentor and develop junior professionals , fostering an environment of growth and expertise
- Stay ahead of emerging risks, trends, and regulatory changes , contributing to thought leadership
What You Bring!
- A strong academic background— Degree in Finance, Quantitative Finance, Engineering, Mathematics, or Statistics (advanced/professional certifications are a plus!)
- At least 7 years of hands-on experience in market risk, consulting, or regulatory environments
- Deep expertise in financial markets, risk modeling, capital markets processes, and trading strategies
- Excellent leadership, communication, and client relationship management skills
- A passion for problem-solving and delivering impactful risk management solutions
Why you would rock at this job!
- Work at the forefront of financial risk management , advising industry leaders
- Join a team of experts where innovation meets real-world impact
- Opportunities for growth, learning, and leadership in a high-performance environment
ð© Ready to take your market risk expertise to the next level? Apply now and be part of a team that’s shaping the future of financial risk!
How to Apply:
If you meet the above requirements, please send your resume DIRECTLY to: kmongalo@networkfinance.co.za
For more finance jobs, please visit our website: www.networkrecruitmentinternational.com
If there is no reply within two weeks, please assume that your application for the vacancy was unsuccessful. Your profile will be kept on our database for any other suitable roles / positions.
We also invite you to reach out to us to discuss your next finance career opportunity!
Requirements:
- Provide strategic insights and high-quality reporting on market risk, interest rate risk, liquidity risk, and counterparty credit risk
- Lead advisory engagements on quantitative risk management, financial regulations (IFRS2, IFRS9/IAS39, IFRS13), and derivative modeling
- Work with stakeholders across banking, trading, and risk management teams to optimize financial risk strategies
- Mentor and develop junior professionals , fostering an environment of growth and expertise
- Stay ahead of emerging risks, trends, and regulatory changes , contributing to thought leadership
- A strong academic background— Degree in Finance, Quantitative Finance, Engineering, Mathematics, or Statistics (advanced/professional certifications are a plus!)
- At least 7 years of hands-on experience in market risk, consulting, or regulatory environments
- Deep expertise in financial markets, risk modeling, capital markets processes, and trading strategies
- Excellent leadership, communication, and client relationship management skills
- A passion for problem-solving and delivering impactful risk management solutions
- Work at the forefront of financial risk management , advising industry leaders
- Join a team of experts where innovation meets real-world impact
- Opportunities for growth, learning, and leadership in a high-performance environment
02 Apr 2025;
from:
careers24.com