AgencyImage

Market Risk AnalystA top tier investment bank are looking for a Market Risk Analyst to join their Risk and Control Function on a rolling contract basis based in London.Role Responsibilities:The role will require you to ensure that accurate risk (VaR, sensitivities, IRC) is reported. You will also be using your skills to liaise closely with Head of Market Risk to provide analysis and support. Also to ensure implementation of high data quality for Risk Management and to comply with Regulations including Brexit. Key Skills:Detailed knowledge of trading business and products, risk methodology and regulatory framework.Expertise in Interest Rate products, Counterparty risks and trade characteristicsUnderstanding of exposure calculation approaches, Traded Risk Internal Controls FrameworksPrevious exposure regression analysisExperience documenting requirements and validating functional specificationLevel of practice: 2+ years post educationAdvanced knowledge of VBA and SQLQuantitative/Mathematical educational background (up to Masters ideally)Investment banking and financial services knowledgeAdditional Skills:Previous stress testing reporting knowledgeIf this is of interest, then please get in touch with an updated CV and we can find a suitable time to talkLook forward to hearing from you,

Apply for this job

If you believe that you have the required skills for this job, then go ahead and click the apply button below.

Share this job

Apply for this job

If you believe that you have the required skills for this job, then go ahead and click the apply button below.