Market Risk Analyst – Cross-Asset – Tier 1 Investment Bank recruitment
Market Risk Analyst - Cross-Asset - Tier 1 Investment Bank - AVP / VP
Market Risk Reporting Analyst required for Tier 1 Investment Bank.
Successful candidate will have a minimum of 3 years experience in either a Market Risk Reporting role or a Product Control role.
Excellent opportunity to join a Tier 1 Investment Bank at the forefront of Risk Management.
Excellent mobility within this bank, opportunity to build a career with a Tier 1 Invesment Bank employer with offices globally.
Very well thought of Risk Management department, work with some of the best Risk Professionals in London.
VBA skills very useful to be used for enhancing and make changes to Risk Reports.
This is a permanent opportunity.