Financial Market Risk Manager

7 dni temu


Warszawa, Mazovia, Polska Goldman Sachs Bank AG Pełny etat

Job Description

This role involves collaboration with clients, sales, traders, legal and structurers to manage the firm's equities derivatives settlement cash flows and associated risks. The ideal candidate will possess a strong control mindset and be accountable for front to back risk mitigation and client service outcomes.

Your Key Responsibilities

  • Investigate and resolve trade discrepancies in a timely manner
  • Manage client expectations and potential fail exposure
  • Establish a strong regional and global network
  • Develop and drive ideas to reduce cost and improve efficiency
  • Risk manager who understands the risks associated with the businesses you support

Requirements

We are looking for a self-motivated and proactive team player who takes ownership and accountability of projects. You should have a Bachelor's degree and 1-3 years of industry experience, including support of equity derivatives products and/or payments processing experience. Proficiency in European languages is desirable.



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