The Private Bank’s global cross‑asset OTC Derivatives and Structured Products business is a microcosm of the Investment Bank’s Markets trading business, with several specialist trading sub-businesses and coverage for a diverse array of products include complex/exotic and bespoke offerings, meeting the needs of a broad private banking client base. Supporting client derivatives trading and structured solutions activity it faces market risk and counterparty credit risk, alongside specific private banking client dynamics, such as esoteric margining & collateral scenarios and potential for wrong-way, concentrated or correlated risk positioning. As a Derivatives Risk Management, Vice President (VP), you will lead first-line Derivatives risk management for the Private Bank’s global cross‑asset OTC Derivatives and Structured Products business. The role is a first-line risk management position embedded in the business. It provides business-aligned risk decision support, trade risk modelling/pricing, control, monitoring and escalation, and partners closely with independent risk and control functions. The role strengthens the business’ first-line risk capability and ensures robust engagement, mitigation and governance outcomes. The role is expected to be hands‑on (Risk modelling, analytics, triage, MI) as well as able to distil complex topics into insightful & impactful materials for senior stakeholders and governance forums.
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Job Type
Full-time
Career Level
Manager
Education Level
No Education Listed