Financial Risk Manager
CMC Markets requires a suitably skilled Financial Risk Manager with relevant Futures and Options experience, who will be mandated with ensuring aspects of the Group''s financial risks are correctly captured, reported and scrutinised in a timely and efficient manner. This is a newly created role in Risk team with a focus on the Futures and Options (Exchange Traded and OTC) product, assisting in setting the reporting and continued ongoing monitoring. The role will cover both financial and liquidity risk management. Please note that we operate onsite working and would require you to come into the office 5 days per week. Key Responsibilities: The Financial Risk Manager will develop, monitor and report various risk metrics ensuring breaches are appropriately reported or signed off. Daily interrogation, interpretation and reporting of stress testing. Drive the development of existing reporting of market, credit counterparty, and liquidity risk. Promote and raise awareness of FRM such that all stakeholders are aware of their responsibilities and obligations with respect to FRM. The Financial Risk Manager will input into the development and the process of the Group''s ICARA review. Produce monthly board level management information on the Financial Risks within the Group Represent Financial Risk in Group projects and be responsible for the team delivery objectives. The Financial Risk Manager will understand all existing and new products offered by CMC Markets, with particular ..... full job details .....
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