Market Risk & Product Control

Hirevector
DK

Job Description

## Key Responsibilities

To further enhance the existing Group Risk Management Framework, related policies and controls

To maintain and further develop the existing risk management tools and provide regular risk reporting to senior management

To enhance control infrastructure around the trading function of the firm by:

Ensuring the accuracy of relevant P&L and Balance sheet positions reported in the management reporting tools and that the applicable reconciliations have been completed and all issues identified/resolved

Performing Independent Price Verification (IPV) of traders marks against external pricing sources

Providing commentary on P&L swings and variance investigation

To participate in the design and launching of new products, and establish/refine risk control policy and procedures for such products

To monitor potential non-financial risks and work with Legal and Compliance team within the Group to mitigate the risks

## Qualifications

Bachelor Degree or above in a quantitative discipline such as quantitative risk management or related disciplines

Minimum of 3 years’ experience in market risk management and product control

Sound knowledge of financial products and strong affinity towards data reconciliation, Excel and programming skills

Strong interpersonal and communications skills

FRM holder is preferable

Experience in credit risk management is a plus

Fluency in English, both written and verbal

Skills & Requirements

Technical Skills

Quantitative risk managementFinancial productsData reconciliationExcelProgrammingCommunicationFrmMarket risk managementProduct control

Level

mid

Posted

4/12/2026

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