Market Risk Analyst- Structured Credit

A great opportunity for a experienced Market Risk candidate to join a top tier investment Bank within their Credit Derivatives business working closely with the prime brokerage desk.

The key responsibilities include:
- Monitoring and analysis of market risk profile with principal emphasis on the Structured Credit Trading  space. 
-Communicating the key risks to Senior Management locally and in the US.·
-Development of risk management analytics/applications, and coordinate their implementation in to in-house systems.

Ideal candidates will also possess the following experiences:

- Excellent communications kills
- Credit Derivative Product knowledge (CDS, CDO, Correlation products, CDS Index Options)
- a background and exposure to prime brokerage would also be an advantage

Please apply directly using the link if you feel that you meet the above criteria. Alternatively please call me on 0203 465 0115 for a informal discussion

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

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