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