Description
A Top Tier Investment Bank are recruiting for a Senior Market Risk Lead to join their London Team on a long term contracting basis.
The Senior Market Risk Lead will need the following knowledge and experience in order to be successful for this role:
- Master's Degree in Mathematics/Statistics/Economics.
- 5 plus years of relevant experience within Investment Banking within Market Risk along with strong understanding of market risk factors & reporting.
- PnL Experience
- Broad Product knowledge including Credit Derivatives and Fixed Income.
- Excellent experience in publishing daily risk reports along with commentaries.
- Experience testing new risk functions and validating the risks.
- Good understanding of Excel, VBA, SQL, Access, C#, C++ etc
- Excellent verbal and written communication skills.
- Previous experience working in complex and demanding environments and aware of all stages of a project.
- Previous managerial experience and the ability to liaise confidently with stakeholders on a Global Scale from IT to Front Office.
If this is of interest to you please get in touch with your latest CV.
I look forward to hearing from you.