Market Risk Analyst – Tier 1 Investment Bank – Canary Wharf recruitment

Market Risk Analyst - Tier 1 Investment Bank - Canary Wharf
My client has several vacancies for Market Risk Analysts in both cross-asset roles and asset class specific teams. This is an excellent opportunity to join a top tier Investment Bank with an excellent reputation for internal mobility and career progression.

Successful candidates will gain Front Office experience deep product knowledge either in a specific asset class or an excellent understanding of group / portfolio risk management and analysis.

Requirements

- 3 years+ Market Risk experience from an Investment Bank / Asset Manager

- Excellent understanding of VaR / Greeks / Scenario Analysis

- Numerate / Quantitative / Com Sci degree from a Top UK institution

- Strong Excel / VBA  / SQL skills

- 1st Class Communication skills