Prestigious client located in Dublin City Centre have a requirement for a Risk Manager within the Financial Risk Management team based in Dublin. The role This department is responsible for the risk management process relating to Equity and Fixed Income portfolios managed by the company. The team is in charge of risk and performance analysis and of the coverage of new products and new financial instruments into the risk management applications. The candidates main task will be to develop and maintain a high-quality risk reporting and risk analysis framework and to contribute to the day-to-day risk management tasks. Furthermore, the candidate will be expected to coordinate risk projects and to deliver high quality documentation and communications on risk analysis, process and methodology for both internal and external use. Experience: 3-8 years experience (buy-side risk / quantitative dept) with a proven track record in the risk management field A degree in Economics, Finance or equivalent related area (i.e. mathematical, quantitative, statistical) with proven quantitative skills (FRM/PRM , or CFA qualifications are appreciated) Expertise in Market Risk (VaR, Stress & Back Test), Portfolio Credit risk management, financial instruments and familiarity with RiskMetrics. Advanced developing skills For full job specification please contact Elaine Liston on 01 634 4145 or contact Elaine by email Hudson is a leading provider of permanent recruitment, contract professionals and talent management solutions worldwide. Please note you will receive an automated response advising you that we have received your CV. |