Description
Imperatives:- A strong background in buy side risk and analytics
- A breath of experience across multiple asset classes - Fixed Income, Derivatives, Equities
- Good track record of risk management - Prices, portfolio risk, cash flow management and liabilities matching
- A background in risk portfolios - In Asset managers, investment banks, Pension funds or Insurance
- Sound analytical skills with good stakeholder engagement experience
Please apply for more information Sthree UK is acting as an Employment Business in relation to this vacancy.