Commodity Mrket Risk Manager
Tier 1 Investment Bank - Market Risk Manager - Commodities .£60k
My client boasts one of the strongest commodity trading desks in the city and due to increasing success they are looking to hire an experienced Commodities Market Risk Manager to strengthen the team
Sitting directly on the trading floor in this high visibility role, you will work closely with the trading teams and will have coverage of a diverse portfolio of both physical and complex financial hybrids. Demonstrating your understanding of exotic commodity products and risk management methodologies you will be responsible for analysing and challenging key trading strategies, VaR limits and thresholds, and will have exposure to senior management.
Candidate requirement:
- Previous market risk management experience at an Investment Bank or Trading house
- Must have deep knowledge and direct experience of Exotic Commodity products
- Excellent modelling ability in VBA, Matlab, C++
- Highly numerate academic background, Financial Engineering preferable
This is a rare opportunity to join such a prestigious team within the Commodity Risk area at one of the leading Investment Banks globally. This role will pay c.£60k base + bonus + benefits. Please send through your up to date CV to register your interest in this position or call Matt Cvijan on 0207 469 5055.
To find out more about Huxley Associates, please visit www.huxley.com
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