Description
Market Risk Manager (FX/Equity/Commodities) - Hedge Fund (VaR)The client is a Hedge Fund and is looking for contract (to possible hire) Market Risk Manager to join for an initial 3 month period. The individual must have a good understanding of Market Risk coupled with a knowledge of FX, Equities and Commodities. The risk manager must also have a strong understanding of financial risk models (be able to communicate and assist the Quants) and will preferable have an experience working with/for Hedge Funds. The team is a dynamic and entrepreneurial group who are looking for someone to hit the ground running.
MARKET RISK MANAGER (FX/EQUITY/COMMODITIES) - HEDGE FUND (VAR)
- Market Risk knowledge
- FX/Equity/Commodities
- Hedge Funds
- VaR/financial models
DURATION: 3 months to perm
LOCATION: London
DAILY RATE: £600-£700
CONTACT: Frank Stephenson