Market Risk Manager
| Salary : | Competitive |
Location : | Doha |
| Type : | Permanent |
| Advertiser : | HCI |
| Date posted : | 03 February 2010 |
| Reference No. : | GJM-8633 |
Market Risk Manager required due to rapid expansion of the asset management function of an investment banking group. The asset management function is looking to launch new funds, add additional asset classed and is generally expanding their capabilities within the region. Due to the nature of the role you must have a proven track record as a market Risk Manager within the Middle East , including exposure to the international markets. You must also be able to demonstrate where you have instilled risk policies, frameworks and procedures from scratch. In addition to the core aspects of the market risk role you must also be competent at credit risk management where you will be involved in the structured products and credit funds.
The Key responsibilities include :
- Day to day management of the market risk function
- Risk reporting, procedures and policy instillation
Please only apply if you have in-depth:
- VaR from a policy perspective but also the technical knowhow to substantiate any discussions.
- Exposures to equity derivatives, credit risk and credit derivative.
- Proven track record at senior Market Risk level.
- Personality to ensure policy and procedures are adopted by all of business.
Requirements
- Previous Experience : 10+ years Market Risk
- International experience
- Specialist Knowledge : Market Risk Management – 5+ years
- VaR Policies and technical
- Regional experience
Other Skills : Excellent
- Man Management Skills
- Communication Skills
- Organisational Skills
Language Skills : English and preferably Arabic



