Requisition ID: 229961
Join a purpose driven winning team, committed to results, in an inclusive and high-performing culture.
The Hedging, Planning and Analysis team within Group Treasury is seeking a highly analytical and technically skilled Manager to support the Bank's Structural Interest Rate Risk (SIRR) and Structural Foreign Exchange Risk (SFER) management. This role is ideal for candidates with a strong background in derivatives risk, particularly those with experience managing non-linear exposures and working with complex instruments such as Swaps, Interest Rate Options, Total Return Swaps (TRS).
Reporting to the Associate Director, Hedging Strategy and Analytics , the Manager, Reporting and Analysis will contribute to the design and execution of hedging strategies, support daily risk reporting, and collaborate with cross-functional teams to enhance the Bank's structural risk management framework.
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