Market Risk Analyst (XVA)

  • 08 mai
  • England - Greater London
  • CDD
CA CIB UK
This is an exciting opportunity for an individual with prior experience in a similar role to join the Market Risk team in charge of XVA and Collateral Management.
In addition to the monitoring of our counterparty and funding risks, you?ll be responsible for improving the accuracy of our measures, enhancing our methodologies in a constantly evolving market and regulatory landscape, supporting the market activity monitoring teams both quantitatively and qualitatively, and ensuring a consistent framework across businesses.
You?ll work closely with the business, IT, finance, model validation and market activity monitoring teams.
Key Responsibilities:
Monitor the business activity and compliance with limits and mandate
Analyse and report market risk exposure, understand the position to anticipate potential market impacts and hot topics
Analyse one-off, new limit and new product requests
Ensure risks are calculated and captured appropriately
Enhance our risk management methodologies
Drive XVA-related projects

Experience in capital markets: market risk or trading
Strong knowledge of derivatives products

MSc in finance, maths, engineering, economics, or other numerate degree