FX Market Risk Treasury
Consultant Dominic McAleenan
Date posted 27 July 2018 2018-07-272018-09-25 banking UK Robert Walters United Kingdom
The FX Market Risk Manager will be responsible of looking at FX Market Risk at Group Level, but will also be involved in the FX Market risk management of the Front Office. The role is for a large European bank based in London.
The ideal candidate for the FX Market Risk Manager role will have:
- knowledge of regulatory capital
- experience in the accounting principles for FX position and their treatment
- strong programming skills - preferably in Python
- understanding of short term interest rates
The client is open to meeting with experienced VP's, and exceptional aVP candidates who feel they are up to the challenge.