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Market Risk Analyst, London

WH Marks Sattin
  • UK - London - London
  • 21-25 Per Hour
  • Full-Time Contract/Temp
  • Banking - Investment Banking
  • Marks Sattin
  • 03-11-08

Job Description

My client is a global investment bank currently seeking a Market Risk Analyst. This is a junior role, and ideal for an analyst with 1-2 years' of proven Market Risk experience from a similar investment bank. Pre-requisites for the role include being from a Maths degree background (at least 2.1 classification), and having a solid and proven exposure to at least one investment banking asset class, such as Derivatives or FX. You will also have a career history of using and developing Risk Measurements, and be able to review and approve new models. You will be furthermore be backtesting and investigating exceptions. You will be placed within a vibrant and energetic team, and be able to hit the ground running independently with enthusiasm - as you will be requried to liaise across various areas of the bank, such as Product Control and Risk IT, excellent written and spoken English communicative skills are required. This role is currently actively recruiting, so apply today in order to not miss out on the next step in your Market Risk career, quoting CFA 110317
  • Qual Temp Team
  • CFA 110317
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