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Quantitative Manager - Market Risk

Details of the offer

Compliance & Risk (Banking & Financial Services)Full timeAbout My ClientMy client is a leading energy provider looking for a Market Risk Quantitative Manager to join their team.Key Responsibilities:Analyze market value fluctuations and offer insights on P&L outcomes. Partner with Marketing & Trading, Treasury, and Procurement to evaluate commodity and foreign exchange valuations.Develop independent market curves and valuation methodologies for trading products.Guarantee accurate Mark to Market P&L reporting and set up controls for trading positions.Lead technology initiatives in the Middle Office to enhance risk management capabilities.Identify and mitigate emerging risks across products and markets.Work with internal teams to effectively resolve discrepancies.What you need:Bachelor's degree in finance, mathematics, or a related field.5+ years in Middle Office, Product Control, Valuation, or Market Risk roles.Strong understanding of valuations for exchange and OTC financial instruments.Proficient in Treasury and Trading Risk Management systems.Strong data analysis skills; experience with Excel, VBA, BI tools, SQL, and Python valued.For more information on this role, please contact Toni Dwyer on 0411601982.
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Nominal Salary: To be agreed

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