Morgan Stanley is looking for an experienced and highly motivated Non-Market Risk Manager to join our team. The Non-Market Risk Manager will be responsible for the development and implementation of risk strategies and policies to identify, measure, manage, and monitor the various risks associated with non-market operations. This is an excellent opportunity for a talented individual to join a prestigious financial services firm and make a meaningful contribution to our risk management program.The ideal candidate will possess a minimum of a bachelor’s degree in a related field, such as finance, economics, or risk management, as well as several years of experience in a similar role. The successful candidate will also have a deep understanding of the principles of risk management, a thorough knowledge of financial instruments and strategies, and an ability to think critically and analytically. Additionally, strong interpersonal and communication skills, as well as the ability to work independently and in a team environment, are essential for success in this role.
Responsibilities:
- Develop and implement risk strategies and policies for non-market operations.
- Identify, measure, manage, and monitor non-market risks.
- Maintain deep understanding of risk management principles and financial instruments.
- Think critically and analytically to make sound risk management decisions.
- Communicate and collaborate effectively with internal and external partners.
- Ensure compliance with applicable regulations and requirements.
- Report and document risk management activities regularly.
- Monitor industry trends and developments and adjust strategies as necessary.
- Provide guidance and support to other team members.
- Perform other duties as assigned.
Economics
Excellent Communication And Interpersonal Skills
Bachelor's Degree In Finance
Proven Track Record Of Success In A Similar Role
Experience With Financial Modeling
Strong Quantitative Skills
Cfa
Mathematics Or Related Field
Expertise In Risk Management Methodologies
Comprehensive Knowledge Of Financial Markets
Relevant Professional Certifications Such As Frm
Prm
Risk Management
Data Analysis
Communication
Quantitative Analysis
Reporting skills
Stress testing
Credit risk
Regulatory compliance
Problem-Solving
Model validation
Financial Risk
Operational Risk
Market Risk
Liquidity Risk
Accounting Knowledge
Communication
Decision Making
Leadership
Problem Solving
Time management
Interpersonal Skills
creativity
self-motivation
collaboration
Adaptability
According to JobzMall, the average salary range for a Non-Market Risk Manager in London, UK is £50,000 - £62,000. This salary range is based on research of salaries in the London area and is an approximate range for a Non-Market Risk Manager. Salary can vary depending on the individual's experience, qualifications, and other factors.
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Morgan Stanley provides investment banking products and services to its clients and customers including corporations, governments, financial institutions, and individuals. It operates through the following business segments: Institutional Securities, Wealth Management, and Investment Management. The Institutional Services segment provides financial advisory, capital-raising services, and related financing services on behalf of institutional investors.

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