Espace Recruteurs

FX Market Risk Manager - 12 Months Contract

Barclay Simpson
Royaume-Uni, Londres
Mise en ligne il y a 13 jours Hybride Intérim £600 day rate
Mise en ligne par
Tamryn George
Interim Risk Recruiter
12 months fixed term contract in one of the leading Market Risk teams in London

My client is one of the larger banks in London with a Market Risk Management team in excess of 20.

We have a very unique opportunity to join them as Market Risk Specialist with exposure to Product Control and will be focusing on Foreign Exchange (FX) financial products both linear and non-linear.

This team sits on the trading floor and interacts closely with traders.

The role will utilise Value at Risk (VaR) and stress testing techniques to add value to both senior management and the front office.

Candides will be expected to have Market Risk Management experience AND specific experience with Foreign Exchange products including derivatives. Candidates should be familiar with VBA.

As this is a contract role, individuals who are immediatley available or on short notice periods will be considered only. Candidates will not be sponsored.



Référence  TG004MR
United Kingdom, London
Gestion du risque
A specialist, governance-focused recruitment agency supporting clients across Risk Management, Quantitative Analytics, Company Secretarial/Corporate G...
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