Director, Market Risk Analyst, FX Options/Rates recruitment
This is an excellent new opportunity for an experience Market Risk Analyst with a varied banking and capital markets risk background.
Analysis of daily VAR, sensitivity and stress test reporting.
The key function of the role is to take lead responsibility for the monitoring of market risk for the wholesale trading floor business
and the global FX business.
There will also be ongoing involvement in projects to improve and streamline processes and systems.
Identify and resolve control and measurements issues for new business and products.
Skills and experience required:
Extensive market risk experience.
Products knowledge: Equity Derivatives, Fixed Income, FX and / or commodity trading.
Interpersonal skills are key in this role as the role will be trading floor based with extensive front office interaction.
For more information please caonact Sam.Harvey@carrlyons.com
Tel: 0207 588 3322