Our client, a leading International Investment Manager is currently looking for a Senior Financial Risk advisor to join their growing and talented risk team.
Responsibilities
Skills / Qualifications
· Minimum 7-11 years experience working in risk management within an asset manager or mutual funds environment
· Degree or post graduate in substantial maths / stats an
· Good understanding/working knowledge of risk measurement tools/concepts for example: Absolute/Relative VaR, Alpha, Volatility, Correlation
· Good understanding/working knowledge of financial products - for example Call/Put, Index/Unit Linked, Equity, Bonds
· UCITS or other regulatory knowledge an advantage
For a more detailed job specification, please apply directly to this job advertisement or email your CV to Niamh nosullivan@paragonexecutive.com