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Sobre este puesto de Market Risk Manager en NatWest Group

NatWest Group · Presencial · London

Join us as a Market Risk Manager


  • You'll join a dynamic working environment and manage risk coverage of the top global Commercial and Institutional Capital Markets franchises
  • In this trading floor-based role, you'll be working closely with the trading and structuring business
  • With the opportunity to further develop an extensive range of skills and knowledge, this varied role also offers excellent exposure to our business and its senior stakeholders



What you'll do


As a Market Risk Manager, you’ll be implementing agreed risk appetites, including monitoring adherence and appropriately escalating breaches.


Your role will also involve:


  • Understanding, reviewing, and challenging trading business strategies at the portfolio and deal level, and highlighting and escalating issues and any unusual trading activity
  • Supporting senior management in the development of the risk appetite and the implementation of the market risk limit framework
  • Developing a detailed knowledge of financial markets, investment strategies, liquidity management and key income drivers
  • Reviewing trade proposals, and non-standard deal documents and making recommendations on approval dependent on sign-off level
  • Reviewing the ongoing operation of risk models and working with market risk methodology on improvements
  • Maintaining interaction between market risk, the relevant business, finance, quants and any other relevant stakeholders

The skills you'll need


To succeed in this role, you’ll hold a formal banking qualification or equivalent professional experience with accreditation aligned to the role or be willing to work towards one.


You’ll also need:


  • Technical expertise in credit and rates products, both vanilla and structured
  • To be a clear and confident communicator across all levels of seniority
  • To be driven, independent and able to enhance existing processes
  • Extensive knowledge of one or more market risk asset classes, preferably rates and credit
  • The ability to understand complex deals to support fair customer outcomes while protecting the organisation’s position, ideally in a market risk function at a large multinational bank
  • The ability to plan and organise the workload to ensure the achievement of productivity and delivery to agreed service standards

Hours

35

Job Posting Closing Date:

15/10/2026

Ways of Working:Hybrid
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