Description:
Job Title: Senior Manager Market Risk (Financial Risk Management)Employment Type: Full-time
Key Responsibilities:
Deliver market, counter-party credit, liquidity, and interest rate risk reports. Manage risk-related consulting engagements across FX, interest rate, credit, and commodity risks. Act as a subject matter expert in quantitative risk, IFRS valuations, hedge accounting, and derivative modelling. Lead and mentor junior staff on advisory projects and audit assist work. Identify growth opportunities and contribute to thought leadership.
Requirements:
Degree in finance, quantitative finance, engineering, mathematics, or statistics. Minimum 7 years' experience in financial risk management, ideally in consulting, banking, or with a regulator. Strong understanding of capital markets and risk processes. Excellent communication skills and ability to manage client relationships. Proven leadership in project-based environments.
Please send CVs to
12 Apr 2025;
from:
gumtree.co.za