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Market Risk Senior Manager Jobs

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Senior Markets Financial Reporting Risk Manager
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Lead financial reporting risk and strengthen books & records controls for Markets Operations in Pune. Leverage 15+ years of accounting expertise to bridge Finance and Operations, ensuring robust controls and substantiation. Drive remediation and adopt strong accounting practices firm-wide in this...
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India , Pune
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Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Non-Trading Market Risk Management Senior Analyst
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Join Citi in Mumbai as a Non-Trading Market Risk Senior Analyst. You will develop and monitor the 1st line risk framework for Commodity, Equity, CSRBB, and FXRBB. The role requires 5+ years in risk management, treasury, and fixed income valuation, with strong analytical and presentation skills. W...
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India , Mumbai
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Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Business Risk Senior Manager, Governance, Markets Control & Regulatory Management
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Lead strategic risk governance and control reporting for Markets Operations in Belfast. You will manage a team, apply the latest risk directives, and influence senior stakeholders. This role requires experience in operational risk, audit, or controls, plus strong communication and data skills (Ex...
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United Kingdom , Belfast
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Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Explore a world of opportunity in Market Risk Senior Manager jobs, a critical and high-impact career path at the intersection of finance, analytics, and strategic oversight. Professionals in this senior capacity are the sentinels of financial institutions, tasked with safeguarding the organization from potential losses stemming from adverse movements in market variables such as interest rates, equity prices, foreign exchange rates, and commodity prices. This is not a back-office role; it is a key leadership position central to the financial health and regulatory compliance of any major bank or financial services firm. A Market Risk Senior Manager typically oversees the development, enhancement, and monitoring of the firm's entire market risk framework. This involves a deep and continuous analysis of the risk inherent in the bank's trading and non-trading portfolios. Their day-to-day responsibilities are vast and varied, often including the identification and assessment of emerging risks, the analysis of key risk metrics like Value at Risk (VaR), and conducting sophisticated stress testing and scenario analysis to understand potential financial impacts under adverse market conditions. They are responsible for setting and monitoring risk limits, ensuring they align with the firm's overall risk appetite. A significant part of the role involves translating complex quantitative data into actionable intelligence, producing comprehensive reports and presentations for senior management, board committees, and regulators. Furthermore, they often manage a team of risk professionals, guiding their development and ensuring the department's analytical output is of the highest standard. The path to securing one of these senior Market Risk Senior Manager jobs requires a formidable blend of education, experience, and personal skills. Typically, a bachelor's degree in finance, economics, mathematics, or a related quantitative field is a minimum requirement, with many professionals holding advanced degrees or prestigious certifications like the Chartered Financial Analyst (CFA) or Financial Risk Manager (FRM). Employers seek candidates with extensive experience, often 10+ years, in market risk management, treasury, or a related financial control function. A profound, expert-level understanding of financial instruments, including derivatives and fixed-income securities, is non-negotiable. Technical proficiency is key; strong skills in quantitative modeling, data analysis, and programming (such as SQL, VBA, or Python) are highly valued for building analytical tools and interrogating data. Beyond technical acumen, exceptional communication and presentation skills are paramount for explaining complex risk concepts to non-technical stakeholders. Success in this field also demands strong leadership, project management capabilities, and an adaptive, innovative mindset to navigate the ever-evolving regulatory landscape and market dynamics. If you are a strategic thinker with a passion for analytics and a drive to protect financial stability, exploring Market Risk Senior Manager jobs could be your next career-defining move.

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