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FICC Market Risk Manager

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Salary £75k
Type Permanent
Location London
Sector
Job Reference T55/TXH/29561
Contact Tim Holbrough
Date posted 14-08-2018

Global Investment Bank seeking a Market Risk AVP to join their London office

Key Responsibilities
• Real-time monitoring of financial markets.
• Quantitative data analysis and modelling
• Influence risk takers and inform key stakeholders. The risk management team is located on the trading floor and has direct contact with traders all day
• Risk reporting across a range of audiences ranging from individual traders, through to senior management and regulators.
• Risk analysis performed using the firm’s systems as well as via ad-hoc methods.
• Describe the analysis conducted in a variety of ways, some standard, some ad-hoc.

Skills/ Experience required
• Solid academic background, which may include a postgraduate qualification
• Good people skills demonstrated across various communication styles (written / one-to-one / large groups)
• Knowledge of financial markets, e.g. via previous work experience
• An understanding of financial derivatives and methods for their financial modelling
• An ability to multi-task and prioritise across several competing demands, meeting tight deadlines
• Prior exposure to the trading of Credit products would be valuable.
• An appreciation of IT systems and their development process. It is not necessary to be a programmer, however Microsoft Excel is essential and VBA highly desirable.

For applications or enquiries, email Tim.Holbrough@BRUINFinancial.com

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Contact Tim about this job

AVP, Consultant