Equities Market Risk Management – Front Office – Tier 1 Investment Bank recruitment

Front Office Equities Market Risk Analyst position at Tier 1 Investment Bank based in Canary Wharf. Based on the trade floor, this is an excellent opportunity to join a top tier Bank with direct access and interaction with traders daily.

The role will consist of a combination of Market Risk analysis, limit monitoring, reporting, and managing ad hoc projects that affect the Risk Management of this trading desk.

Situated on the trade floor, this is an excellent move for someone in the middle office looking for direct access / experience of dealing with traders.

Successul candidates will have 3 years+ experience of Market Risk Analysis on Equity products, including derivatives.

A strong understanding of VaR, Greek Sensistivities and Stress-Testing is also essential.

Please get in touch with Alex Cosgrove for more information.