Marex Group plc is seeking a Market Risk Manager to oversee counterparty exposures. This crucial role ensures effective risk management through robust monitoring and engagement with trading and control functions across various asset classes.
The successful candidate will have significant experience in risk analysis and derivative pricing, along with strong analytical and communication skills. The position is located in the Greater London area and offers a supportive environment emphasizing inclusive practices.
#J-18808-LjbffrCross-Asset Market Risk Manager (Derivatives) employer: Rex Technologies GmbH
Marex Group plc is an exceptional employer, offering a dynamic work environment in the heart of London with opportunities for professional growth and development in the financial services sector. Employees benefit from a collaborative culture that values diversity and inclusion, alongside comprehensive training programs that prepare them for future roles, including potential relocation to Abu Dhabi. With a focus on client relationships and innovative solutions, Marex empowers its team members to excel in their careers while contributing to a leading global clearing business.