This global professional services firm offers audit, tax, and advisory services. Known for its expertise and high-quality service, the firm focuses on helping clients solve complex challenges. It provides a supportive, diverse workplace where employees can grow, make an impact, and contribute to client success.
Lets explore the market together to sky rocket your career.
Job Experience & Skills Required: - Analyze and manage market risks in trading and investment activities.
- Advise clients on risk management strategies, with a focus on Murex.
- Implement and optimize risk management frameworks and tools.
- Conduct risk assessments across market, liquidity, and credit risks.
- Ensure compliance with regulatory frameworks (e.g., Basel III, Dodd-Frank).
- Collaborate with teams to deliver integrated solutions.
- Prepare reports and presentations with risk insights and recommendations.
- Stay updated on market trends and emerging risks.
Qualifications: - Bachelor's Degree in Finance, Economics, or related field (Masters preferred).
- Strong experience in market risk management, ideally in banking or consulting.
- Familiarity with Murex trading systems.
- Knowledge of financial instruments and risk models.
- Understanding of regulations (Basel III, Dodd-Frank).
- Strong analytical, problem-solving, and communication skills.
Preferred Qualifications: - Professional certifications (e.g., FRM, CFA).
- Experience in banking, trading, or consulting.
If you have not had any response in two weeks, please consider the vacancy application unsuccessful.