IPV Manager FX/Credit Hybrid/Rates

London  ‐ Onsite
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Description

I would like to make you aware of an urgent requirement from our big four banking client in London, who are looking for a Finance Analyst IPV with Rates, Credit, FX, Equities and Commodities experience on 3 month rolling contract paying between £400 - £500 per day.

You will meet the following Finance Analyst IPV requirements:

  • 3+ years of experience of Financial Market Products in either Valuations and/or Risk.
  • Good working knowledge of full spectrum of products from vanilla to exotic and excellent track record of corporate governance.
  • Understanding of risk and excellent technical product knowledge including IPV methods and sources, preferably across all asset classes (Rates, Credit, FX, Commodities and Equities).
  • Ability to represent IPV in discussions and meetings with senior finance management, business, risk and product control.
  • Experience within a change role/environment demonstrating analysis techniques, problem solving and project management skills.
  • Appreciation of Control and Risk environment.
  • Experience of providing detailed high level analysis to senior managers and trading management.
  • Ability to contribute to management team discussions of the wider and issues facing the IPV and Impairments team.
  • Good time management skills to ensure all deadlines are made and influencing skills to get other people to hit their deadlines.

If you are interested and meet the requirements, please send your latest CV to me and we can discuss in more detail.

If you meet the requirements, I will be in touch ASAP to confirm your application.

Look forward to hearing from you.

Start date
ASAP
Duration
3 months
From
Orgtel
Published at
08.10.2014
Project ID:
787170
Contract type
Freelance
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