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Market Risk Manager - Derivatives (Equity / Rates)

Date Posted
16th March 2017
Reference
FRG/619
Sector
Banking/Finance, General Insurance, Investment, Life
Job Type
Permanent
Location
City of London
Benefits
£80,000 - £110,000 plus bonus
Salary
£80,000 to £110,000 Per Annum

Job Description Apply: Market Risk Manager - Derivatives (Equity / Rates)

I am conducting a search for a Market Risk Manager for a FTSE 100 Insurer to look after their Derivatives book (£150-200B) – mainly around Equity and Rates.

They require an individual who is comfortable in challenging the business units derivatives strategies. You will develop the Group hedging strategies and do “deep dives” around this.

This is a newly created role that you can mould and shape. The Group have a very flat hierarchical structure and you will have high profile interaction with the Director of Risk and CRO.

It will suit an ambitious person, as you will become the “market expert”  for this area. You will be dealing with the UK and International business units with some limited travel involved.

Should this pique your interest, please apply online now or get in contact and I can follow up at a mutually convenient time with further detail.

Patrick Flanagan - Director - Insurance & Investment

T: 0203 017 5124 / M: 07826 546 069

E: P.Flanagan@financialresourcinggroup.com


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