Job Description
Responsibilities:
Self-motivated risk management professional with an interest in delivering strategic change solutions to enable effective solutions around traded risk management.
Good understanding of key market risk concepts (e.g., traded products, VaR, stress testing, risk/limit management).
Good understanding of key credit risk concepts (e.g., traded products, counterparty risk, credit approval process, limit management, excess management).
Strong technical knowledge, especially in the Murex domain.
Good business domain knowledge of banking & trading book.
Good understanding of Datamart and Simulation modules in GMP.
Highly effective in communicating with technical stakeholders and proficient in communicating with non-technical stakeholders.
Good problem-solving, analytical, synthesis, system thinking, and solutioning skills.
Ability to identify, monitor, and manage project risks, issues, and dependencies, and agree on appropriate solutions with sponsors...