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Senior Market Risk Analyst., London
- GB - City of London - London
- Highly Competitive
- Full-Time Permanent
- Financial Services - Risk Management
- 02-05-08
Job Description
A tier 1 European Bank are seeking candidates with strong derivatives experience for their front office market risk department. The Senior Market Risk Analyst will be responsible for the daily analysis of the derivatives portfolio, working alongside the trading team and senior risk managers to set and implement risk strategy, as well as play a key role in all aspects of pre-trade risk management.
Suitable candidates must be educated to MSc / BSc level, or equivalent, within a quantitative or finance related discipline. The Senior Market Risk Analyst must have excellent derivatives knowledge across more than one asset class, preferably in Credit or Equity. Strong VaR / Excel skills are essential. If you wish to be considered for this position please send your CV to risk@selbyjennings.com
www.selbyjennings.com
Suitable candidates must be educated to MSc / BSc level, or equivalent, within a quantitative or finance related discipline. The Senior Market Risk Analyst must have excellent derivatives knowledge across more than one asset class, preferably in Credit or Equity. Strong VaR / Excel skills are essential. If you wish to be considered for this position please send your CV to risk@selbyjennings.com
www.selbyjennings.com
- The Team
- y58y845345439598539
