Head of Market Risk
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Buscamos un/a Head of Market Risk para integrarse a un entorno bancario y liderar el análisis, monitoreo y reporting del riesgo de mercado.
La persona será responsable de evaluar las exposiciones asociadas a diferentes productos e instrumentos financieros, proporcionar análisis de riesgo para la toma de decisiones y participar en iniciativas estratégicas relacionadas con la gestión de Market Risk.
Principales responsabilidades
Liderar el análisis y reporting de riesgo de mercado .
Evaluar y monitorear las exposiciones de Market Risk de diferentes productos e instrumentos financieros.
Analizar productos de renta fija (Fixed Income) , derivados y otros instrumentos de mercados de capitales.
Aplicar metodologías cuantitativas para la medición y evaluación del riesgo de mercado .
Participar en el desarrollo y análisis de modelos financieros y metodologías cuantitativas de riesgo .
Generar análisis y reportes ejecutivos que permitan soportar la toma de decisiones.
Apoyar iniciativas estratégicas relacionadas con la gestión y mitigación del riesgo de mercado .
Trabajar de manera coordinada con equipos cross-functional dentro de un entorno bancario.
Analizar tendencias, exposiciones y factores de riesgo asociados a los mercados financieros.
Colaborar con diferentes áreas para fortalecer las prácticas de gestión y control del riesgo.
Experiencia sólida en Market Risk / Market Risk Management .
Experiencia en Capital Markets .
Experiencia con Fixed Income .
Experiencia con Derivatives .
Conocimiento de Quantitative Risk Methodologies .
Conocimiento de Financial Modeling .
Experiencia trabajando con equipos multidisciplinarios / cross-functional dentro de un entorno bancario.
Inglés C1 .
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