Job Summary
A company is looking for a Market Risk Manager (FX).
Key Responsibilities
- Provide independent risk management of non-trading market risks, including Interest Rate & FX Risk in the Banking Book
- Support remediation of firm-wide issues on governance and framework of non-structural FX Risk
- Define methodologies for risk identification and establish risk appetite/limits
Required Qualifications
- Thorough understanding of FX risk management and hedging methodologies
- In-depth knowledge of treasury functions and balance sheet management
- Knowledge of FRTB regulatory requirements for FX risk capitalization
- Expertise in data analyses, particularly with Excel
- Relevant experience in model methodologies
Comments