Competitive salary; not specified; core bank fundi...
Hybrid
10+ years treasury products experience
Fx derivatives and margin trading expertise
Margining, leverage, and concentration risk management
Standard Chartered Bank is seeking a Global Head of Product Risks with extensive experience in treasury products and derivatives, particularly in FX and margin trading. The ideal candidate will be responsible for overseeing product-specific risks and will play a pivotal role in shaping risk strategies while fostering collaboration across departments
Job Summary
This Executive Director-level role is accountable for the effective oversight and control of product-specific risks arising from the global distribution of treasury products.
The successful candidate will provide authoritative challenge on margining methodologies, stress assumptions, and concentration frameworks with particular depth in FX derivatives.
Standard Chartered offers a competitive salary, flexible working options, and a comprehensive benefits package including 30 days minimum time-off and mental health support.
Matching Summary
Match Score: 85
Standard Chartered Bank is seeking a Global Head of Product Risks with extensive experience in treasury products and derivatives, particularly in FX and margin trading. The ideal candidate will be responsible for overseeing product-specific risks and will play a pivotal role in shaping risk strategies while fostering collaboration across departments.
Salary
Competitive salary; Not specified; Core bank funding for retirement savings, medical and life insurance, flexible working options
Skills & Requirements
Must-have
10+ years treasury products experience
FX derivatives and margin trading expertise
Margining, leverage, and concentration risk management
Executive-level risk oversight and challenge
Stress testing and scenario design capabilities
Nice-to-have
CACS 1&2 certification preferred
Strong stakeholder influence and trust building
Experience with MarginMan technology ecosystem
Ability to lead during market stress events
Strategic thinking across global regions
Key Requirements
Bachelor's degree required
10+ years experience in treasury products and derivatives