Credit & Market Risk Analyst

Specialist Financial Markets organisation requires an Analyst to provide a first class credit and market risk management service to senior stakeholders, encompassing risk analysis, monitoring, reporting and data management. As part of a small yet expert team, collectively they are responsible for ensuring the organisation is fully aware of market developments including creditworthiness of banking counterparties, keeping abreast of sovereign risk issues relevant to the UK, and that risk policies and procedures are fit for purpose. Candidates will need to demonstrate exposure to credit and/or market risk in the context of a financial institution, with some knowledge of fixed income markets. 

September 18, 2013 • Tags:  • Posted in: Financial

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