Market Risk Control - Risk SPG Analyst/求人ID：96792募集終了
|職種||Market Risk Control|
|ポジション||Risk SPG Analyst|
|仕事内容||The Risk SPG is a new construct created in Q3 2010 that will run as a formal team for the next 12months but with the ultimate goal to be integrated in the current FICC and Equities SPG teams (acting as business aligned and business facing trade support teams for flow and structured derivatives products). We are looking for highly capable, ambitious and technically skilled Product Controllers to contribute to the build-up of the Market Side team and the Counterparty Credit Risk side team, making up a c. 20 FTEs strong Risk SPG team. The team will be based predominantly in London but with cells in Stamford (US) and Tokyo (APAC).
The first objective will be to build-out teams with the right mix of skills between ‘risk management / finance ‘ and ‘middle-office / operations’ backgrounds. The on-going goal of the Risk SPGs will be to act as a first line of detection and control of poor data quality fed by the Risk Management Systems as well as to develop Analytical tools to support the early detection of data quality issues with a view to ‘template’ types of errors.
The key success factor for the Risk SPG team will be the ability to quickly identify and remediate issues leveraging the rest of the organization. The team will have both a strong element of Run the Bank (RTB) and Change the Bank (CTB) activities associated to the daily processes.
|必要スキル|| Ability to manage effective, constructive and trustworthy senior stakeholders and trader relationships
Knowledge of Risk Management for Flow and Structured Derivatives businesses
Excellent written and oral communication skills
Strong interpersonal and organizational skills
Experienced people manager and team lead
Creative thinker, fast learner, and curious
Based in Tokyo, Singapore or Hong Kong.
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