Market Risk Analyst

  • 50000-70000
  • Londres, Angleterre, Royaume-Uni
  • CDI, Plein-temps
  • B&FS Risk
  • 07 sept. 17

My client is a leading European Investment Bank and they are looking for Multiple Market Risk Managers to join their London team on the CVA desk.



Key Responsibilities:

  • Understanding of business activity on a trading desk, whilst undertaking risk reporting from a wide range of stakeholders
  • Key point of contact for the business for respective desk
  • Communication with relevant stakeholders to describe the analysis conducted on a daily basis
  • Develop market risk methodologies for analysis
  • Working with teams locally and in Europe.



Key Requirements:

  • Strong academic background, preferably from a Mathematics, Science of Engineering discipline
  • Valuations experience desirable 
  • Experience within Fixed Income and CVA is preferable.
  • Knowledge of financial markets is a must
  • Excellent IT Skills (VBA)
  • Strong communication skills and the ability to multitask