Market Risk Managers - AVP

  • 50000-75000
  • London, England, United Kingdom
  • Permanent, Full time
  • B&FS Risk
  • 20 Nov 17 2017-11-20

My client is a leading Investment Bank and they are looking for Multiple Market Risk Managers to join their London team. This team is looking for technically strong, confident individuals with industry experience to join their high performing risk management team.

Key Responsibilities:

  • Understanding of business activity on a trading desk, whilst undertaking risk reporting from a wide range of stakeholders
  • Key point of contact for the business for respective desk
  • Communication with relevant stakeholders to describe the analysis conducted on a daily basis
  • Develop market risk methodologies for analysis

 

Key Requirements:

  • Strong academic background, preferably from a Mathematics, Science of Engineering discipline
  • Experience within credit, rates, mortgages, derivatives and/or currencies is advantageous
  • Knowledge of financial markets is a must
  • Excellent IT Skills (VBA)
  • Strong communication skills and the ability to multitask