Description
Senior Market Risk Analyst
A Top Tier Investment Bank is recruiting for a Senior Market Risk Analyst to join their Management and Control function on a long term contracting basis.
The Senior Market Risk Analyst will be expected to have an excellent understanding of the Market risk function, as they will be responsible for Market Risk Analysis focusing on the Credit side of the business.
In addition to this, the role will involve a great deal of stakeholder management. The Senior Market Risk Analyst will be working with other team members globally to expand best practices, and working closely with Market Risk Mangers to provide analysis and support.
The successful Market Risk Analyst will need to have the following skills:
- A good understanding of key risk factors for Credit, Interest Rates and FX
- Thorough understanding of risk management, Value at Risk, sVaR, RWA and Stress Testing
- Advanced knowledge of VBA or SQL
- An understanding of IRC notion
- Experience of related banking areas eg Product Control, Front Office
This is an urgent role, so if you are interested please do get in touch ASAP.
I look forward to receiving your applications.
To find out more about Huxley, please visit our website.
Huxley, a trading division of SThree Partnership LLP is acting as an Employment Business in relation to this vacancy