Trading & Treasury Market Risk Manager

Lloyds Banking Group

London, United Kingdom
Base: £0 - £0; bonus/equity: not specified; benefi...
Hybrid
Trading & treasury market risk
Xva risks expertise
Derivative pricing knowledge
Oversee trading desk activity across a variety of asset classes including rates, FX, credit, repo, and xVA, and use your deep product knowledge to ensure that risk taken is appropriately controlled

Job Summary

  • Oversee trading desk activity across a variety of asset classes including rates, FX, credit, repo, and xVA, and use your deep product knowledge to ensure that risk taken is appropriately controlled.
  • Shape and enhance the Group’s market risk framework — strengthening policies, risk appetite, methodologies, and the broader control environment.
  • We are on an exciting journey to transform our Group and the way we’re shaping finance for good, focusing on the future, investing in our technologies, workplaces, and colleagues.

Matching Summary

Oversee trading desk activity across a variety of asset classes including rates, FX, credit, repo, and xVA, and use your deep product knowledge to ensure that risk taken is appropriately controlled.

Salary

Base: £0 - £0; Bonus/Equity: Not specified; Benefits: Not specified

Skills & Requirements

Must-have

  • Trading & Treasury Market Risk
  • xVA risks expertise
  • Derivative pricing knowledge
  • Market risk metrics
  • Python and SQL
  • Independent risk analysis

Nice-to-have

  • Flexible working options
  • Inclusive workplace culture
  • Team development and support
  • Stakeholder collaboration skills

Key Requirements

  • 8+ years of experience
  • Market risk or adjacent role
  • End-to-end derivative pricing understanding
  • Capital requirements and xVA methodologies
  • Excel, Python, and SQL

Work Rights

Not specified

Tailored Resume

Cover Letter