A Senior, numerate, and experienced Risk Manager is required to provide support to the Head of Group Treasury in respect of daily trading activity. The successful candidate will possess a high level of numeracy and experience across most asset classes, but Credit in particular. Reporting to the Head of Strategy and Control, you will look to assist the management of correlation risk between all books traded, Liquidity risk and Credit risk being major aspects of this role... The successful candidate should be able to explain/translate the activities of traders to the paramaters of Risk managers within the control function, whose experience may not be so market oriented.