Junior Market Risk Manager
Your role & work environment
You will be part of the FIFM (Financial Institutions Financial Markets) Risk department in Brussels, which consists of approximately 20 people, providing market risk support to a variety of businesses within Financial Markets : Linear Rates, Repo Trading, Non-linear Rates, Structured Credit and Equity Derivatives.
The core activities of the team are measuring and analysing the day-to-day Profit and Loss (P&L) generated by the trading desk and monitoring and advising on the market risk exposures that are taken in the trading books.
Next to this, the team is also involved in the product approval process, regulatory compliance projects and continuous system improvements.
The Agile way of working is used to manage competing priorities in a transparent way and to track performance and success objectively.
Your key responsibilities
The key responsibilities for the role are :
We look for
A colleague with a talent for taking it on and making it happen, enthusiasm for helping others to be successful and a knack for always being a step ahead.
In other words, you strive to bring fresh ideas to life and embrace challenges in a fast changing and complex environment.
You are a naturally collaborative person who listens and invests in others to achieve common goals. You love to challenge the status quo and are eager to propose creative solutions to problems.
As a Junior Market Risk Manager, you will also need :
Don't forget to mention BrusselsJobs when applying.
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