Market Risk Analyst – Commodities recruitment

Market Risk Manager – Commodities, London

To £85,000+Bonus+Bens

Our client, a top investment bank, requires a Market Risk manager to be responsible for the day-to-day analysis, risk management and reporting of traded commodity products. The Market Risk Manager will be deal with: softs, metals, energy and hard commodity products,  reporting directly into the Global Head of Commodities Risk.

If you have experience working within a Market Risk environment for an Investment bank, or buy side operation, and have focused on commodity products, then this role provides an excellent opportunity for career progression and obtaining a superb remuneration package.

This exciting role, will require an individual who has the gravitas to speak to key stakeholders and work with other key areas of the business.

Must have a valid UK visa.

If you would like to discuss this vacancy before applying, please call James Cook on 020 7936 2601 or email jc@barclaysimpson.com.