As Vice President, Market Risk Management in the AeJ Equities business, you will monitor, analyse, and manage market risk while supporting business strategy.
Conduct daily reviews of market exposures and perform stress analysis
Develop and maintain risk reports, models, and analytic tools
Collaborate with front office, Model Validation, Valuations, IT, and Operations to assess risk and strategy
Participate in transaction and committee approvals, escalating issues as needed
Provide daily recaps of market movements, P&L, and risk insights
Candidate profile:
To excel in this role, you bring proven equities trading or market risk experience, strong analytical and communication skills, expertise in derivatives, and a proactive, collaborative mindset.
Minimum 5 years' experience in equities trading or market risk
Solid understanding of option pricing models and market sensitivities
Strong analytical skills with expertise in derivative product risks
Excellent written and verbal communication for cross-functional collaboration
Programming skills preferred, coupled with intellectual curiosity and passion for financial markets
About the company:
A global financial institution delivering integrated banking and investment solutions worldwide. The company prioritises talent development, collaboration, and innovation to drive long-term growth and impact.
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