Our client is a top tier European Investment Bank who are looking for a Market Risk Officer with a focus on Equity Derivatives and Equity Financing products.
Job Requirements:
- 8+ years of experience within Market Risk, Financing or Trading, with a focus on equity product class
- A degree in finance, economics or STEM related discipline
- Professional proficiency in English
- Experience in a leadership position would be beneficial
Job Description:
- Sit on the trading floor, covering the APAC Equity Trading portfolio for all market risks
- Working in collaboration with the front office to reduce risk profile of the portfolio
- Reviewing the frameworks and limits for traders
- Review daily trading and market activity
