Trading & Treasury Market Risk Manager

Lloyds Banking Group

London, United Kingdom
£0 - £0 ph
Hybrid
Trading & treasury market risk
Xva risks
Derivative pricing
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’re focusing on the future, investing in our technologies, workplaces, and colleagues to make our Group a great place for everyone.

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

£0 - £0

Skills & Requirements

Must-have

  • Trading & Treasury Market Risk
  • xVA risks
  • derivative pricing
  • market risk metrics
  • technical communication skills
  • market risk framework enhancement

Nice-to-have

  • building and maintaining relationships
  • problem-solving skills
  • adapt to new challenges
  • developing team insight tools

Key Requirements

  • 8+ years of experience
  • end-to-end understanding of derivative pricing
  • market risk, capital requirements and xVA methodologies
  • working knowledge of Excel and Python
  • query languages (SQL, MDX)

Work Rights

Not specified

Tailored Resume

Cover Letter