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Marex

Risk Manager: Marex Solutions (VN2946)

London
Posted 6 days ago
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Lead Market Risk Manager – Marex Solutions (Global Team)

About Marex Group

Marex Group plc (NASDAQ: MRX) is a diversified global financial services platform providing critical liquidity, market access, and infrastructure across:

  • Energy
  • Commodities
  • Financial markets

The group delivers four core services across 60+ exchanges, catering to: ✔️ Commodity producers & consumers (metals, energy, agricultural sectors) ✔️ Banks ✔️ Hedge funds ✔️ Asset managers ✔️ Participants in OTC and exchange-traded markets

With 40 offices worldwide and 2,300+ employees, Marex operates across Europe, Asia, and the Americas.

Visit https://www.marex.com/ for more details.


About the Role

We are seeking an experienced Market Risk Manager to spearhead counterparty exposure oversight within our Marex Solutions business. This critical position will ensure robust risk management, aligns with trading/structuring initiatives, and maintainsvigilance over global market risk—particularly in OTC and structured derivatives spanning Commodities, FX, Rates & Credit, Digital Assets, and cross-asset products.


Responsibilities

Risk Governance & Compliance

  • Oversee counterparty exposures and market risk for Marex Solutions’ global business, prioritizing OTC, structured, and exotic derivatives across asset classes.
  • Enforce internal policies and exterior regulatory compliance, including:
    • Stress testing
    • Capital adequacy standards
    • Market conduct adirection

Risk Leadership & Analytics

  • Evaluate derivative structures and assess embedded risks for proper risk system capture.
  • Define, review, and enhance risk metrics and methodologies, proposaland resp to limit frameworks against approved risk appetite.
  • Conduct independent risk assessments of new products/complex derivatives to ensure full risk understanding and oversight.

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Stakeholder Collaboration

  • Partner with trading, structuring, model validation, finance, and methodology teams to ensure:
    • Accurate pricing
    • Correct valuation
    • Transparent risk representation beyond revenue potential

Reporting & Actionable Insights

  • Present clear, timely risk reports to senior management, highlighting:
    • Key risk drivers
    • Emerging volatility
    • Macroeconomic influences

Requirements & Qualifications

Education & Experience

  • Bachelor’s/MASTER’s degree in Finance, Mathematics, Engineering, or a quantitative discipline.
    • Plus points for CFA or FRM certification
  • Significant experience in market risk management (or trading/structuring) at a tier-1 financial institution, preferably with industry exposure to:
    • OTC derivatives
    • Structured/exotic products
  • Proven focus on OTC derivatives (especially Commodities, FX/Rates/Credit) and, increasingly, crypto-native risk assessment.

Key Skills

Analytical & Technical

  • Deep knowledge of derivative pricing models and market risk sensitivities across:
    • Equity
    • FX
    • Rates
    • Credit
    • Commodities
    • Digital Assets
  • Solutions for managing complex economic risk under volatility shock scenarios.
  • Critical skills in quantitative analysis, utilising:
    • Risk systems (e.g., Sophis, Bloomberg, bespoke platforms)
    • Programming ( Python, VBA, SQL, PowerBI ) for stress testing or hedging workflows

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Communication & Governance

  • Aptitude to challenge senior stakeholders on risk-taking allocations while maintaining direct stakeholder relationships.
  • Clear articulation of risks to executives, traders, and regulatory bodies without sacrificing precision.

Desired Competencies

Technical & Quantitative

  • Risk Identification & Assessment (qualitative + quantitative methodology)
  • Stress-testing methodologies: Design realistic scenarios to test risk capacities.
  • Deep understanding of OTC clearing processes and market mechanics across:
    • Energy
    • Metals
    • Agriculture

Interpersonal & Collaborative

  • Cross-functional alignment: Bridge gaps between advanced pricing teams, compliance, and audit.
  • Decision under pressure: Synchronise quantitative insights with commercial ambitions without introducing systemic masterficationity of risk.

Workplace Culture

Marex is: 🔹 Committed to inclusivity & accessibility in recruitment. 🔹 Dedicates resources to reasonable accommodations during the hiring process.

We welcome encouraging employees returning to the workforce, particularly those from backgrounds previously undersupplicated their gender identities, disabilities, or generations transitioning back.


Interested? Get in touch! Apply with any accessibility-related preferences in your candidate material.

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Skills

Risk Management
Market Risk
Derivatives
Analytical Skills
Communication Skills
Stakeholder Management
Regulatory Compliance
Programming Skills
Risk Analysis
Product Knowledge
Stress Testing
Financial Analysis
Quantitative Methods
Collaboration
Problem-Solving
Strategic Thinking

Location

London, England, United Kingdom

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