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Market Risk Analyst
Job description
Are you an experienced market risk professional who enjoys financial analysis in a transaction-oriented environment? Are you motivated to take responsibility in a decision-making role and provide independent challenge across a broad portfolio? Are you a solution-oriented individual who can communicate clearly with senior stakeholders? We are looking for someone like this to:
- review and analyze Americas FX, Rates & Credit risks daily to identify, assess and control market risk exposures across foreign exchange, rates and credit portfolios
- create transparency for stakeholders through the preparation and provision of meaningful and timely risk information and relevant advice
- undertake portfolio analyses of the market risks, perform risk assessments and approve transactions within the delegated market risk authority and in accordance with internal policies and regulations
- work alongside the business, as the 2nd line of defense, to independently identify and escalate issues and concerns
- enhance the risk control framework and participating in corresponding projects in order to accommodate product innovation and regulatory developments
- review the appropriateness of limits frameworks and related controls
- maintain a climate of openness, transparency and accountability in our team
Description copied from UBS's careers page. Read the full posting before you apply.
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