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Financial Risk Manager

CMC Markets · London, United Kingdom

External listingfull-time24 days ago

About The Role

Join CMC Markets as a Financial Risk Manager, a newly created role focused on supporting the Risk team in delivering the Futures & Options project. You will be responsible for developing, monitoring, and reporting various risk metrics, driving the development of existing reporting, and promoting awareness of financial risk management. You will also produce monthly board-level management information on financial risks, represent financial risk in group projects, and maintain personal/professional development. Benefits include a pension plan, life assurance, income protection, health insurance, holiday, discretionary bonus, and breakfast provided for office days.

  • Développer, surveiller et rapporter divers indicateurs de risque, en veillant à ce que les violations soient correctement signalées ou approuvées.
  • Interroger, interpréter et rapporter quotidiennement les tests de résistance, et conduire le développement des rapports existants sur le risque de marché, de crédit et de liquidité.
  • Promouvoir et sensibiliser à la gestion des risques financiers, en veillant à ce que toutes les parties prenantes soient conscientes de leurs responsabilités et obligations.
  • Prior experience in exchange traded and OTC derivatives (futures and options)
  • Ability to meet deadlines and prioritize accordingly
  • Degree in Finance, Economics, or related
  • Strong Excel skills required - Excel VBA preferable
  • Organized, and able to manage time efficiently to ensure that operational duties are completed on time
  • Highly numerical, with strong attention to detail, and a curious and inquisitive approach
  • Experience of Python programming

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