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Market Risk Senior Group Manager Jobs

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Pursue a pivotal leadership role at the intersection of finance, analytics, and strategy by exploring Market Risk Senior Group Manager jobs. This high-level executive position is the cornerstone of a financial institution's defense against volatility and uncertainty in the global markets. Professionals in this role are the senior-most experts responsible for safeguarding the firm's financial health by identifying, analyzing, and mitigating potential losses arising from adverse market movements, including shifts in interest rates, equity prices, foreign exchange rates, and commodity values. It is a career defined by immense responsibility, strategic influence, and the need for deep technical expertise. A Market Risk Senior Group Manager typically oversees the entire market risk framework for an organization or a major business segment. Their day-to-day responsibilities are multifaceted, blending deep quantitative analysis with high-level management and communication. Common duties include leading a team of risk professionals in the development and application of sophisticated quantitative models, such as Value at Risk (VaR), to measure potential losses. They conduct rigorous stress testing and scenario analysis to understand the impact of extreme market events on the firm's portfolios. A critical part of the role involves establishing and monitoring the firm's risk appetite, ensuring all trading and investment activities operate within defined limits. Furthermore, they are responsible for producing comprehensive reports and presenting clear, actionable insights on risk exposures and trends to the highest levels of senior management and board committees. They also serve as the key liaison with regulatory bodies, ensuring the firm remains in full compliance with an ever-evolving landscape of financial regulations. The typical profile for an individual succeeding in Market Risk Senior Group Manager jobs is one of extensive experience and specialized skill. Candidates generally possess 10-15+ years of progressive experience in market risk management within a banking, asset management, or other financial institution. A deep, expert-level understanding of financial instruments—particularly complex derivatives and structured products—is non-negotiable. They must have exceptional analytical and quantitative skills, often backed by proficiency in programming languages like Python, R, or SQL for data analysis and model review. Beyond technical prowess, outstanding leadership and communication skills are paramount, as the role involves managing large teams, influencing senior stakeholders, and articulating complex risk concepts clearly. Professional certifications such as the Financial Risk Manager (FRM) or Chartered Financial Analyst (CFA) are highly valued and often expected. If you are a strategic leader with a passion for financial markets and a talent for managing complex risk, exploring Market Risk Senior Group Manager jobs could be the next step in your distinguished career.

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