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Project Manager - Structural & Market Risk
Project Manager - Market Risk
Investment / Institutional Banking / Market Risk / Structural Risk / Implementation / Re-engineer
Who is the client?
Leading financial institution
What is the project?
The client is about to embark on a project to re-engineer and automate the processes supporting trading limit monitoring across all asset classes. The goal is to determine a solution that is robust, efficient and complements the value-at-risk (V@R) framework. An opportunity exists for a seasoned Project Manager from a market risk background to lead this project from inception, hiring the appropriate team, influencing design and system selection all the way through to implementation. The role will suit a hands-on project manager willing to take personally accountability for delivery.
Summary:
- Project management of the system replacement of the end to end infrastructure supporting the trading limit utilisation across all asset classes.
- Re-engineering of processes and integration of new technology across Middle Office and Market Risk.
- Leading business role in the analysis of major Information Technology solution to enable the development business process and /or technical solutions
Experience:
- Project management experience of medium to large projects involving cross functional teams and end to end process change
- Vendor management
- Investment Banking experience in either Market Risk
- Strong communication and engaging interpersonal skills – essential
This is an excellent opportunity to take on a project at its early stages and drive this through to implementation.
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