My client is one of the biggest names in Investment Banking globally and are looking to hire into their US Market Risk Management Team.
The role will offer the opportunity to focus on any one of the five asset classes and develop product knowledge. The role will offer the opportunity to work closely with traders to monitor trading positions and contribute towards the setting of trading of limits.
The position will suit candidates who want to be close to trading and the commercial environment whilst developing a deeply analytical knowledge.
Applicants must have experience in either a Market Risk or Investment Risk capacity and have used both Value at Risk and Stress Testing techniques. Candidates should be familiar with the sensitivities/Greeks and have experience in a coding language such as Python, SQL or VBA.
Please apply urgently as there will be a lot of demand for this junior end of the market.