Risk Manager: Marex Solutions (VN2946)

Posted 19 Days Ago
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London, Greater London, England, GBR
In-Office
Senior level
Financial Services
The Role
Manage and monitor counterparty exposures and market risk for Marex Solutions across OTC, structured and exotic derivatives. Evaluate derivative structures, enforce risk and limit frameworks, assess new products, partner with trading/structuring/validation/finance, deliver governance and reporting, and ensure regulatory compliance including stress testing and capital requirements.
Summary Generated by Built In

About Marex

Marex Group plc (NASDAQ: MRX) is a diversified global financial services platform providing essential liquidity, market access and infrastructure services to clients across energy, commodities and financial markets. The group provides comprehensive breadth and depth of coverage across four core services: clearing, agency and execution, market making, and hedging and investment solutions. It has a leading franchise in many major metals, energy and agricultural products, with access to 60 exchanges. The group provides access to the world’s major commodity markets, covering a broad range of clients that include some of the largest commodity producers, consumers and traders, banks, hedge funds and asset managers. With more than 40 offices worldwide, the group has over 2,300 employees across Europe, Asia and the Americas.

For more information visit https://www.marex.com/

We are seeking an experienced Market Risk Manager to oversee the counterparty exposures of Marex Solutions business. The successful candidate will play a key role in ensuring robust risk management, monitoring exposures, and partnering with trading, structuring, and control functions to manage risk across multiple asset classes.

Responsibilities:

• Risk Oversight: Monitor and manage counterparty exposures and market risk of Marex Solutions global business, with a focus on OTC derivatives and structured and exotic derivatives in Commodities, FX, Rates & Credit, Digital Assets and cross-asset products.
• Risk Analysis: Evaluate derivative structures, assess embedded risks, and ensure they are appropriately captured in risk systems and metrics.
• Risk and Limit Frameworks: Define, review, enhance risk measurements and methodologies, and enforce risk limits; challenge the adequacy of risk-taking activities relative to approved risk appetite.
• Product Coverage: Provide independent risk assessment of new products and complex structures, ensuring risks are well understood and controlled.
• Stakeholder Engagement: Partner with sales and trading teams, structuring, model validation, finance, and risk methodology teams to ensure accurate pricing, valuation, and risk representation.
• Governance & Reporting: Deliver clear and timely risk reporting to senior management, highlighting key risk drivers, trends, and emerging risks.
• Regulatory Compliance: Ensure adherence to internal policies and external regulatory requirements, including stress testing, capital requirements, and market conduct standards.

Skills & Experience:

• Bachelor’s or Master’s degree in Finance, Mathematics, Engineering, or a related quantitative discipline; CFA/FRM is a plus.
• Significant market risk or trading/structuring experience within a leading financial institution, with exposure to structured and exotic derivatives.
• Deep understanding of derivative pricing models and risk sensitivities across multiple asset classes (Equity, FX, Rates, Credit, Commodities and Digital assets).
• Strong knowledge of risk management frameworks, stress testing methodologies, and capital/regulatory requirements.
• Excellent analytical skills and ability to interpret complex risks into clear, actionable insights.
• Strong communication skills with the ability to challenge senior stakeholders and present risk issues concisely.
• Familiarity with risk systems (e.g. Sophis, Bloomberg or in-house platforms) and corresponding data flows. Programming skills (Python, VBA, SQL and PowerBI) highly advantageous.

Competencies:

Technical & Analytical
  o Risk Identification & Assessment: Skill in analysing potential operational, financial, and strategic risks using qualitative and quantitative methods.
  o Risk Analysis: Proficiency in using programming tools (e.g., Python, SQL, advanced Excel and PowerBI) for risk forecasting, scenario analysis, and stress testing.
  o Product Knowledge: A deep understanding of multiple asset classes (equities, fixed income, commodities, FX, derivatives) including their valuation and associated pricing models.
  o Regulatory Compliance: understanding of relevant regulatory frameworks and ensuring the company remains compliant.

Interpersonal
  o Communication & Stakeholder Management: The ability to articulate complex risk concepts and findings clearly and persuasively to diverse audiences, including senior management, traders, and regulatory bodies.
  o Collaboration: Managing key stakeholders and coordinating across cross-functional teams.
  o Problem-Solving & Decision-Making: The ability to analyse issues, draw on expert advice, and make sound, well-reasoned recommendations under pressure.
  o Strategic Thinking & Business Acumen: The capacity to link risk management practices with overall business objectives and provide insights that align with the organization's goals and strategies.

If you’re forging a career in this area and are looking for your next step, get in touch!
Marex is fully committed to being an inclusive employer and providing an inclusive and accessible recruitment process for all. We will provide reasonable adjustments to remove any disadvantage to you being considered for this role. We value the differences that a diverse workforce brings to the company. We welcome applications from candidates returning to the workforce. Also, Marex is committed to avoiding circumstances in which the appearance or possibility of conflicts of interest may exist within the hiring process.
If you would like to receive any information in a different way or would like us to do anything differently to help you, please include it in your application.
#LI-MH1

Skills Required

  • Bachelor's or Master's degree in Finance, Mathematics, Engineering, or related quantitative discipline
  • Significant market risk or trading/structuring experience with exposure to structured and exotic derivatives
  • Deep understanding of derivative pricing models and risk sensitivities across multiple asset classes (Equity, FX, Rates, Credit, Commodities, Digital Assets)
  • Strong knowledge of risk management frameworks, stress testing methodologies, and capital/regulatory requirements
  • Familiarity with risk systems and data flows (e.g., Sophis, Bloomberg or similar platforms)
  • Excellent analytical skills and ability to translate complex risks into clear, actionable insights
  • Strong communication and stakeholder management skills, including challenging senior stakeholders
  • Programming and data skills (Python, VBA, SQL, PowerBI, advanced Excel)
  • CFA or FRM certification
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The Company
HQ: London
732 Employees
Year Founded: 2005

What We Do

We are a diversified global financial services platform, connecting clients to global energy, metals, agricultural and financial markets. Across our businesses we provide critical high value-add services in Market Making, Execution and Clearing, Hedging and Investment Solutions, Price Discovery and Data & Advisory. We have a leading franchise in many major metals, energy and agricultural products, executing around 38 million trades and clearing over 193 million contracts in 2021. The Group provides access to the world’s major commodity markets, covering a broad range of clients that include some of the largest commodity producers, consumers and traders, banks, hedge funds and asset managers. Marex was established in 2005 but through its subsidiaries can trace its roots in the commodity markets back almost 100 years. Headquartered in London with 22 offices worldwide, the Group has over 1,100 employees across Europe, Asia and America. State-of-the-art electronic and voice broking services facilitate all types of trading strategies. This is backed by decades of experience, with Marex emphasising intellectual knowledge and insight, alongside access to extensive data sets and the latest analytical tools. In addition to its core operations, Marex's scale and expertise in commodity derivatives, as well as physical products, has enabled it to respond to client demand and offer services for financial futures & options and foreign exchange.

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