Description
A Top Tier Investment Bank are recruiting for a Market Risk Analyst who has knowledge of Market Risk Processes in terms of VaR and sensitivities as well as profit and Lost to join their team.
ESSENTIAL EXPERIENCE REQUIRED
- Knowledge on trading business & products, risk methodology and regulatory framework.
- Specifically expertise in Interest Rate products, Counterparty risks, Market risks, trade characteristics and hedging strategies
- Experience in risk system development cycles and working with Risk Technology departments.
- Strong ability to understand and use complex systems and take a logical and constructive approach to investigating and communicating system problems
- Financial Services/Investment Banking experience
- Experience - one to three years
- Academia - Degree/Masters within a quantitative discipline
- High level of expertise in Excel & Access (VBA level)
If this Market Risk Analyst position is of interest to you please get in touch with your CV so we can discuss.