Are you an experienced Market Risk professional ready to take the lead on complex financial risk engagements within the banking and financial services sector? This senior leadership opportunity offers exposure to high‑impact projects, cutting‑edge risk management practices, and the chance to mentor and grow teams in a dynamic, fast‑paced environment. This opportunity sits within a leading Financial Risk Management practice focused on strengthening the safety, stability, and performance of financial institutions. The team supports clients across market risk, liquidity risk, counterparty credit risk, capital markets, and regulatory compliance. As a Market Risk Senior Manager , you will work closely with senior leadership to deliver high‑quality advisory and reporting solutions to banking and financial services clients. You will play a pivotal role in managing complex risk engagements, developing client relationships, growing business opportunities, and coaching junior professionals. Key Responsibilities Deliver high‑quality market risk advisory and reporting services to banking and financial services clients Prepare and review reports covering market risk, counterparty credit risk, interest rate risk in the banking book, and liquidity risk Lead quantitative financial risk management engagements across foreign exchange, interest rate, credit, and commodity risks Act as a subject matter expert in areas such as quantitative risk modeling, hedge accounting, derivative valuation, or IFRS‑related financial instruments Lead and manage teams on advisory and audit‑assist engagements, providing guidance, coaching, and performance feedback Collaborate locally and internationally to identify and support new business and growth opportunities Contribute thought leadership and research on developments in the financial and capital markets landscape Job Experience and Skills Required Education Degree in Finance, Quantitative Finance, Engineering, Mathematics, Statistics, or a related field Advanced or professional qualifications will be advantageous Experience Minimum of 7 years’ relevant experience within market risk, financial risk management, advisory services, or project management Experience within a consulting environment, financial institution, or regulatory body (banking exposure preferred) Strong understanding of capital markets processes, including trading, risk management, credit, settlement, and operations Skills Strong quantitative and analytical capabilities Excellent written and verbal communication skills Proven leadership, stakeholder management, and team development ability Ability to operate effectively in a project‑based, collaborative environment This role is ideal for a technically strong, commercially minded leader who thrives in a consultative environment and enjoys solving complex financial risk challenges. #J-18808-Ljbffr
Market Risk Senior Manager
NETWORK RECRUITMENT
johannesburg, johannesburg
Published 2 days ago
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