You will be working at our Americas Headquarters at 745 Seventh Avenue. Applied Math knowledge, with an ability to understand and employ quantitative or statistical analysis.Experience with relational databases and programming.Experience in a technology/ analytics/ process function.Ability to propose, create, and deploy views and appropriate cuts of risks, including creation of new metrics or scenarios summarize risk for management.Risk management experience across the Rates and FX asset classes, both options and linear.Mentor and support junior members of the team across New York and Mumbai.Execute Stewardship across market risk processes, making both incremental, as well as strategic improvements.Ensure governance is instilled and followed by the juniors in the team.Manage the risk appetite and limit setting process for the business, weighing up factors such as budgets, market liquidity, and growth in products and client base.Architect scenario stresses for market events to guard against sudden market volatility, as well as exposing the book’s vulnerabilities.Interacting with key stakeholders/ desk heads at a senior level, and covering for senior forums as required, such as regulator meetings and senior management meetings.Create and deploy metrics to monitor and control the business’s risk.Execute risk management for market risks: challenging the business as appropriate, whilst facilitating the business to grow in a scalable and controlled manner. An important and growing presence in the USA, we offer careers providing endless opportunity. We've helped millions of individuals and businesses thrive, creating financial and digital solutions that the world now takes for granted. You will be responsible for overseeing the smooth running of the risk reporting, production, and review process, and making yourself aware of the significant market risks in the businesses you’ll cover in the process.īarclays is one of the world's largest and most respected financial institutions, with 329 years of success, quality and innovation behind us. As a Barclays Macro Market Risk Manager you will cover trading desks across the Rates and FX businesses by providing independent information to the business to enhance decision making, whilst providing a control environment which satisfies the goals set by the regulators.
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