Description
Essential experience sought to be successful in this role includes but is not limited to;- Extensive technical knowledge and exposure to Market Risk and derivative instruments / products traded within investment banking.
- Practical understanding of relevant regulatory environment including recent developments, changes and impacts to investment banking firms
- Proven track record of high performance in previous roles to include senior stakeholder management
- Relevant professional qualifications (e.g. ACCA, ACA, CFA, FRM or any other qualification in quantitative discipline for market risk)
To be considered for these fantastic opportunities, please contact Leroy Maringa