FX Risk Management Consultant
A leading consultancy is seeking a highly skilled Risk Management Consultant to drive strategic risk management solutions, build client relationships, and develop cutting-edge analytical tools for financial sponsors, portfolio companies, and corporate companies.
Key Responsibilities:
- Risk Management Leadership: Manage and support risk management assignments, working with the team to create and execute strategies for interest rate and foreign exchange exposures.
- Business Development: Actively market the firms services to financial sponsors, portfolio companies, and corporates, identifying new opportunities for growth in the financial sponsor market.
- Quantitative & Analytical Excellence: Leverage strong quantitative and modelling skills to develop analytical tools for multi-asset risk management assignments, including the development of a cross-correlated simulation engine.
- FX Hedging Strategy: Work with the RM team to enhance fund-level FX hedging capabilities and develop comprehensive risk management strategies for clients.
- Continual Growth: Contribute to the development and growth of the firms global analytics and client deliverables.
Experience & Qualifications:
- 5+ Years of Experience: Proven hands-on experience in developing interest rate and foreign exchange strategies, with in-depth knowledge of financial derivatives.
- Strong Presentation Skills: A professional approach, including the ability to present effectively to senior management and financial sponsors.
- Risk Management Expertise: Ability to understand financial risks and define appropriate strategies for clients across multiple asset classes.
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