Marex in Greater London is seeking an experienced Market Risk Manager to oversee counterparty exposures in their Solutions business. This role demands strong market risk analysis, stakeholder engagement, and regulatory compliance.
The candidate will monitor and manage risks in multiple asset classes, conducting comprehensive risk assessments and reporting to senior management. A Bachelor’s or Master’s degree in a related field is essential, along with significant experience in market risk analysis.
#J-18808-LjbffrSenior Market Risk Manager, Derivatives & Commodities employer: Marex
Marex is an exceptional employer that fosters a dynamic and collaborative work culture in the heart of London, providing graduates with the chance to innovate and design bespoke structured products. With a strong emphasis on professional development, employees are encouraged to enhance their skills and grow within a global financial services firm that values creativity and teamwork. The unique opportunity to work alongside experienced professionals in a fast-paced environment makes Marex an attractive choice for those seeking meaningful and rewarding careers.