Director of Front Office Multi-Asset Market Risk Management for Leading Top Tier Investment Bank, London

Top Tier Global Investment bank in London is looking to expand the Market Risk team with a Director level hire covering all asset classes in the Front Office risk group

A leading tier 1 investment bank has recently opened up an exclusive mandate for a director level position covering all asset classes for the front office market risk team. The Director of Market Risk Management will be directly responsible for how the risk of the firm is managed across London for the bank and play an active part in all risk strategies across all major trading regions of the firm.

This role carries a high level of responsibility and requires an individual who is used to managing a large team along with an understanding of how risk is managed across all asset classes with a focus on interest rates in the London and international markets.

 

The ideal candidate is likely to have the following background and skill set:

The successful candidate will be joining a well established and highly experienced team with a place on the senior management of the bank. You will have the opportunity to take responsibility for a handful of sectors with the chance to develop into new areas as the opportunity arises.

 

May 9, 2013 • Tags:  • Posted in: Financial

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