JobMesh

Trading & Treasury Market Risk Manager

Lloyds Banking Group · London, England, GB

End Date Wednesday 27 May 2026 Salary Range £0 - £0 We support flexible working – click here for more information on flexible working options Flexible Workin...

Job description

End Date Wednesday 27 May 2026 Salary Range: £0 - £0 We support flexible working – click here for more information on flexible working options Flexible Working Options: Hybrid Working, Job Share Job Description Summary: . Job Description: JOB TITLE: Trading & Treasury Market Risk Manager LOCATIONL: London: HOURS: Full Time: WORKING PATTERN: Our work style is hybrid, which involves spending at least two days per week, or 40% of our time, at one of our hub locations. About this opportunity: An exciting opportunity has arisen in the Treasury & Trading Market Risk team within Lloyds Banking Group. We are looking for an experienced market risk professional with strong technical skills and a deep product understanding with a particular focus on xVA risks. What you'll be doing: Oversee trading desk activity across a variety of asset classes including rates, FX, credit, repo, and xVA, and use your deep product knowledge to ensure that risk taken is appropriately controlled. Provide independent risk analysis on business proposals and activity, e.g. new product propositions, complex transactions and risk appetite Provide independent oversight on market risk and xVA capital adequacy and accur...