Market Risk Reporting

        Beschreibung

        • Bachelor’s or Master’s degree in Finance, Risk Management, Economics, or a related field. Professional qualifications such as FRM (Financial Risk Manager) or CFA (Chartered Financial Analyst) are desirable.

        • Minimum of 10 years of experience in market risk management, risk reporting, or a related field in banking or financial services with at least 2 years in a leadership role.

        • Strong understanding of market risk concepts (VaR, stress testing, sensitivity analysis) and financial products (derivatives, bonds, equities, etc.)

        • Strong analytical, problem-solving, and project management skills.

        • knowledge of regulatory frameworks related to market risk (Basel III/IV, FRTB)

        • Strong communication and stakeholder management skills, ability to lead cross-functional teams and manage projects

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        Job #44943

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        • Freie und Hansestadt Hamburg, Hamburg
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