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Senior Manager, Commodities Market Risk Oversight
2 months ago
We are seeking a highly experienced Senior Manager to lead our Commodities Market Risk team. As a key member of our Institutional Banking & Markets (IB&M) team, you will be responsible for providing oversight of Commodities Trading Book and supporting the collection of market data and positions for the measurement of market risk exposures.
Key Responsibilities- Monitor market and liquidity risks to ensure they are within limit thresholds.
- Assess the market risk profile and apply sound understanding of treasury products, market risk matters, systems, practices & controls.
- Implement complex and significant market and liquidity risk management projects.
- Coordinate the production of month end reports for various committees and other ad hoc insights as required.
- Communicate results and analysis of market risks to management and key internal stakeholders.
- Develop market risk analysis and design derivatives risk metrics and tools to help manage, measure, and monitor market and liquidity risks.
- Review and analysis of stress testing results and evolve the design of traded and non-traded limit frameworks and risk measures.
- Experience and working knowledge in Commodities and/or Carbon is mandatory.
- Demonstrated experience in traded market risk (either Line 1 or 2) is essential.
- An awareness of industry conditions and the competitive and regulatory landscape impacting capital markets businesses.
- Demonstrate capability to make risk decisions independently with full consideration of commercial, customer and risk impacts.
- Well-developed stakeholder and customer management skills and be able to communicate your thoughts and ideas clearly using written and verbal techniques.