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Japan Market Risk Coverage - Global Rates

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title:
the coverage gruop forms the primary interface for discussing risk isuses with the front ofifce. mr highlights concentrations in risk and work with the trading and quantitative groups to fully understand their implications from a risk/reutrn perspective. monitored and controlled, we work in partnership with the business to ensure that risk positions are adequately identified, measured.sesc, transparency and manaegment
track current market environment against core risks to ensure p&l surprises are avoided
partner with front office and other market risk coverage groups to develop new tools and metrics to make the important risks and p&l drivers more transparent to senior management
manage relationships with the j-fsa, boj etc and be point person for all japan risk examinations (across all local lobs)
skills/qualifications:
strong analytical & quantitative skills with appropriate mathematical background
clear oral and written communication in english
basic knowledge of japanese is a plus
experienced risk manager in a top tier market risk group or trading team
experience of mangaing people, setting objectives and ensuring the team delivers quality product
in depth knowledge of rates and fx products,
highlight concentrated or wrong-way risk positions and work with desk heads and business head to ensure appropriate reporting. market risk works to optimise the fimrs return on risk, and to reudce volaitlity in opertaing perfomrance.finnace, finnace and middle office as lead conatct for all risk management issues
managing a team of risk profesisonals in varoius geogarphic locaitons in the reigon, moedl reivew group,
work with the front office, including local le risk manager, valuation & policy group, quantitative research, credit.
responsibility for setting market risk limits framework
responsibility for defining best practice var and stress scenario methodology and analytics and lead specific aspects of a multi-year technology spend to upgrade market risk technology
market risk approval of large and new transactions, review and input into new product approval process.regulators and investors, market risk is uniquely positioned as the team that ensures all market risks are made transparent to senior management,
given the complexity of the firm's portfolios, the businesses.p. morgan's control framework. japan market risk coverage - global rates (ed)
location: jpn-tokyo-tokyo
group description:
market risk is an independent control group which performs a key role in j.supras-sovereign issuance, government securities, fx and currency swaps, ir single and multi-european options,
responsibilities:
coverage of asia fixed income business (including fx) covering broad spectrum of products including repurchase agreements, ir swaps.this role is to cover the asia rates and fx business that includes coverage of the japan and australian fixed income business.

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