Front Office Market Risk Manager

Top Tier Investment Bank requires Front Office Quantitative Risk Manager for Fixed Income Hybrid Exotic Trading Desk, London

Market Risk Analyst, Fixed Income products 

Top Tier Global Investment Bank

London, UK

Fixed Term Contract

£60,000 - £75,000 base salary + cash benefits

A top tier investment bank is expanding their front office risk management function across multiple asset classes. The Fixed Income trading team are seeking an highly quantitative risk manager with hands-on exposure of FI derivatives including knowledge of options Greeks for a senior market risk position on the desk. 

The role is integral to the success of the London risk and trading business and will directly affect the PnL of the bank both in London and on a global scale. 

The entire market risk function is based in the front office of the bank and will interact with the trading team as well as a range of other business areas across the business on a daily basis. 

The successful candidate will be an excellent communicator who is confident in their ability and will thrive in a busy, trade floor environment. The fixed income risk team cover a broad variety of vanilla and exotic products and previous exposure to rates, credit or foreign exchange will be highly beneficial. 

 
The ideal candidate will encompass the following skills experience;

November 7, 2013 • Tags:  • Posted in: Financial

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