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Market Risk Controller – Commodities, UK-London
Market Risk Controller – Commodities
Company: Barclay Simpson  
Location:   UK-London  
Remuneration:   £80-110,000+bonus+bens  
Position Type:   Permanent  
Employment type:   Full time  
Work permit req:   UK  
Updated:   19 Nov 2009  
eFC Ref no:   578042  
 


My client, a well known commodities brokerage, is looking to recruit an experienced market risk manager to develop, establish and manage its Market Risk Control system for its trading business (physicals & derivative, metals and softs).

Key responsibilities:

• Establishing and maintaining an effective Global Market Risk Management system

• Monitoring, maintaining and managing an appropriate market risk exposure across the group

To be considered for this role, you should have a market risk background within a bank or hedge fund, active in commodity trading. You should have strong academics in a numerate subject, excellent market risk knowledge (particularly developing and establishing controls and procedures), in-depth VaR knowledge (Monte Carlo modelling), strong Options and Physical commodities experience (understand the Greeks, Risks linked to Options trading etc) and a good knowledge of the commodity markets.

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Contact:
Peter Whyte
Company:
Barclay Simpson
Website:
www.barclaysimpson.com
Recruiter Ref:
PWH/17542

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