Fixed Income Market Risk Specialist recruitment
Our client is looking for a senior and proven risk analyst with experience working across a spectrum of Fixed Income products. As a seniormember of the team you will have autonomu and exposure to all aspects of risk management.
Preferably you will have worked in at least 2 established finance houses and have gained indepth knowledge and understanding of the requirements of a risk management team. Strong academics are essential, excellent numerical abilities and proven skills in VaR, stress testing, pricing and risk exposure.
April 6, 2012
• Tags: Debt, Fixed Income careers in the UK, Fixed Income Market Risk Specialist recruitment • Posted in: Financial