Senior Consultant, Market Risk at EY
London E14 5EY, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

28 May, 25

Salary

0.0

Posted On

01 Mar, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Leadership Development, It

Industry

Financial Services

Description

LONDON

EY is looking for a Market Risk Manager with strong analytical skills, traded risk expertise and experience in derivative products, to join Market Risk team, within Risk Consulting business. This is a full time London (UK) based role.
Team works with clients in Financial Services with regulatory/risk challenges in areas such as Market, Counterparty, Credit and Climate Risk, etc. This is a rapidly growing area supported by an increased focus across the industry. It’s a great time to join a high-profile team where you’ll be surrounded by some of the most interesting and knowledgeable colleagues around and exciting project opportunities to learn and further develop your skillset and careers

SKILLS AND ATTRIBUTES FOR SUCCESS

  • Confident and credible communicator (both written and verbal) with good technical knowledge of traded products and risk management
  • Project management and strong report writing skills
  • Experience in stakeholder and client management and well organised
  • Ability to support business development and contribute to the growth of the EY market solutions and support thought leadership development and GTM Point of Views (POVs)
Responsibilities

YOUR KEY RESPONSIBILITIES

As a Senior Consultant in the team, you can expect to be involved in the following activities:

  • Participate in Risk and Assurance engagements with a Market and / or Counterparty credit risk focus.
  • Work effectively as a team member sharing responsibility, providing support, maintaining communication, and updating senior team members on progress
  • Draft presentations, reports and other deliverables for senior stakeholders
  • Conduct performance reviews and contribute to performance feedback for staff
  • Contribute to people initiatives including recruiting and retaining FSRM professionals
  • Maintain an educational program to continually develop personal skills
  • Contribute to developing internal solutions, business development materials and the growth of the EY in the market
  • Take part in the project planning and economics aspect of the project (budgeting, billing, etc.)

TO QUALIFY FOR THE ROLE, YOU MUST DEMONSTRATE THE FOLLOWING:

  • Strong academic background including at least a 2.1 Bachelor’s degree
  • Good understanding of Derivative Pricing, Market risk and CVA methodologies used for the trading, risk management including solid knowledge of greeks, market data and capital calculations
  • Good understanding of statistical and numerical techniques used in traded risk methodologies.
  • Confident and credible communicator who displays good technical knowledge
  • Ownership of given tasks and ensuring timely delivery, project management and report writing experience
  • Soft skills including teamwork, collaboration, inclusiveness, flexibility, proactiveness, and motivation
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