As a Senior Manager in Financial Risk Management, you will manage challenging business evolution and transformation projects for key players in the Financial Services industry. This involves streamlining and reengineering frameworks and processes related to financial risks. You will be involved in consulting projects concerning financial and risk management frameworks, financial instrument valuation, and monitoring and managing financial risks, primarily in Market Risk, Interest Rate & Liquidity Risk domains.
The ideal candidate should have at least 7-8 years of proven experience in leading Financial Services companies or top consulting firms. A degree in engineering or economics with a finance focus is required. You must have experience with integrated processes and controls for derivatives/securities and financial risks, financial instrument valuation processes, and knowledge of primary information providers and valuation software.
PwC offers an opportunity to work in a dynamic, innovative environment with access to an international network. You will have the chance to contribute to complex projects, work with passionate teams, and develop your professional skills. The role requires someone who is ready to travel, motivated by consulting work, and capable of finding innovative solutions to complex challenges.