Market Risk Analyst

London  ‐ Onsite
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Description

A Top Tier Investment Bank are recruiting for a Market Risk Analyst to join their Risk and Valuation Management function on a long term basis.

The successful Market Risk Analyst will need the following experience:

  • Master's in a quantitative discipline (Mathematics/Statistics/Economics etc).
  • 3-5 years of Market Risk Management experience within Investment Banking along with strong understanding of market risk factors & reporting.
  • Identify regulatory requirements and SIMM Initial Margin methodology.
  • Stress Testing Experience.
  • Broad Asset Product knowledge.
  • Excellent experience in publishing daily risk reports along with commentaries.
  • Good understanding of Excel, VBA, SQL, Access etc
  • Excellent verbal and written communication skills.

If this is of interest to you, or curious to learn more, please do get in touch!

Huxley, a trading division of SThree Partnership LLP is acting as an Employment Business in relation to this vacancy

Start date
04/06/2018
Duration
12 months
From
Huxley Banking & Financial Services
Published at
10.05.2018
Project ID:
1552757
Contract type
Freelance
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