My client is a leading financial firm with a great reputation and a good working environment. They are looking to hire a relatively senior Market Risk Manager who has proven experience working with traders to set and monitor trading limits, support on scenario analysis and stress testing and report key risks.
Candidates will have a reasonable amount of experience as a Market Risk Manager (or Analyst) in a Bank and have worked with VaR and other risk methodologies.
Candidates may come from any asset class although the focus for this role will be more fixed income aligned.
- Applicants cannot be currently employed
- Applicants must be eligible to work in the UK without the need for further sponsorship.
If you are interested in applying, please do so urgently as this role will attract a lot of attention.