Fixed Income Market Risk Manager

London  ‐ Onsite
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Keywords

Description

Market Risk, Analyst, Manager, Fixed Income, Bonds, Repo, Value at Risk (VaR), MS Excel, VBA, London

My client a leading financial institution is looking to hire an experienced Fixed Income (Repo/Bonds) market risk analyst to join their growing business. The ideal candidate will come from a proven background of market risk management with specific expert knowledge of Fixed Income products including repos and bonds.

Essential technical experience required for this role include a deep knowledge and understanding of Value at Risk (VaR) methods; Experience of analysing stress and scenario testing results; Experience of MS Excel and VBA.

Candidates must have the ability to communicate and build relationships with all levels of the business.

Aston Carter Ltd is acting as an Employment Business in relation to this vacancy.

Start date
ASAP
Duration
6 months +
(extension possible)
From
Aston Carter
Published at
21.12.2011
Project ID:
285003
Contract type
Freelance
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