AVP – Market Risk Analyst X 2
- £70,000 - £85,000
- London, England, United Kingdom
- Permanent, Full time
- 21 Nov 17 2017-11-21
Due to restructure at a Tier 1 Investment Bank has two amazing opportunities for Market Risk Analyst to join the team focussing on separate asset classes / markets
The team manage a managing a diverse and complex portfolio of products. You will be responsible for the analysis of model risk, analysis and reporting of market risk
The roles are a blend of technical understanding of financial products, real-time monitoring of financial markets and quantitative data analysis and modelling. It also requires a variety of communication skills used to report on risk positions in order to influence risk takers and inform key stakeholders.
These are very technical roles and require people to have a very strong numerical academic background in addition to relevant Market Risk experience.
In return they are offering a starting salary ranging between £70,000 - £85,000 plus bonus and benefits