Trading & Treasury Market Risk Manager

Scottish Widows (Lloyds)

London, United Kingdom
Not specified; annual performance-related bonus; u...
Hybrid
8+ years market risk experience
Deep understanding of xva methodologies
Derivative pricing knowledge
This role involves overseeing trading desk activity across rates, FX, credit, repo, and xVA asset classes to ensure appropriate risk control

Job Summary

  • This role involves overseeing trading desk activity across rates, FX, credit, repo, and xVA asset classes to ensure appropriate risk control.
  • The successful candidate will provide independent risk analysis on business proposals and shape the Group's market risk framework.
  • Lloyds Banking Group offers a generous pension contribution of up to 15%, an annual performance-related bonus, and 30 days' holiday plus bank holidays.

Matching Summary

This role involves overseeing trading desk activity across rates, FX, credit, repo, and xVA asset classes to ensure appropriate risk control.

Salary

Not specified; Annual performance-related bonus; Up to 15% pension contribution

Skills & Requirements

Must-have

  • 8+ years market risk experience
  • Deep understanding of xVA methodologies
  • Derivative pricing knowledge
  • Python and SQL proficiency
  • VBA development skills

Nice-to-have

  • Strong stakeholder communication
  • Team mentoring capabilities
  • Regulatory change project experience
  • Hybrid working flexibility

Key Requirements

  • 8+ years in market risk or adjacent role
  • End-to-end understanding of capital requirements
  • Strong technical communication skills
  • Proficiency in Excel, Python, and SQL

Work Rights

Not specified

Tailored Resume

Cover Letter