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Market Risk Analyst Structured Credit., London

  • GB - City of London - London
  • Highly Competitive
  • Full-Time Permanent
  • Financial Services - Risk Management
  • 14-04-08
Job Description
A top tier U.S. Investment Bank is currently seeking an experienced market risk analyst for their Global Structured Products team. The market risk analyst will be responsible for monitoring all market risk, VaR & position limits across global capital Markets on structured credit. This trader facing role also involves the ongoing review, validation and enhancement of existing and new risk management models and methodologies and performance measurement.



Suitable candidates must be educated to MSc / BSc level, or equivalent, within a finance or quantitative related discipline. Knowledge and understanding of functions and processes such as market risk measurement/monitoring as well as structured credit is essential. Strong Excel skills and understanding of other IT tools, Applications and systems would be highly advantageous. The market risk analyst position will suit commercially astute candidates, with the benefits of excellent remuneration and progression opportunities on offer to the right candidate. If you wish to be considered for this position please send your CV to risk@selbyjennings.com



www.selbyjennings.com



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