At a Glance
- Tasks: Monitor market and counterparty risk while collaborating with Trading and Sales teams.
- Company: Join Standard Chartered, a leading financial institution in London.
- Benefits: Enjoy flexible working options and competitive compensation.
- Other info: Opportunity for career growth in a supportive and innovative workplace.
- Why this job: Make a significant impact on risk management in a dynamic financial environment.
- Qualifications: 7-8 years of market risk experience in securities and derivatives required.
The predicted salary is between 63000 - 77000 Β£ per year.
Standard Chartered is seeking a Senior Risk Manager to cover Prime Services and XVA desks in London.
You will monitor market and counterparty risk, review and approve risk limits, and collaborate with Trading, Sales, and Credit Officers to ensure risk within appetite.
The role requires 7β8 years of market risk experience in securities and derivatives within a financial institution, with counterparty credit risk experience a plus.
Flexible working options are available.
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Senior Risk Manager β Prime Services & XVA employer: Standard Chartered
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