Description
Market Risk Analyst - Risk - Liquidity - Canary Wharf - £250 per day
An international investment bank is looking to recruit a Market Risk Analyst to be based in Canary Wharf, London for an initial 2 month period with the possibility of extension. The role requires an understanding of financial markets; asset and liability management and investment portfolio management: FX, Fixed Income and money market trading and investment instruments, as well as an understanding of processes by which market and liquidity risks are measured and monitored.
Key skills required
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Excellent knowledge of MS Excel, MS Access and MS Word (ideally including VBA and SQL)
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Experience of risk systems and Back Office/support systems
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Treasury and asset and liability management experience preferred
If interested in the above role of Market Risk Analyst please submit your details immediately, so I can contact you with more information