Market Risk Analyst Tier 1 Investment Bank Executive Analysis recruitment

Market Risk Analyst Tier 1 Investment Bank Executive Analysis

My client, a Tier 1 Investment Bank based in Canary Wharf is seeking a Senior Market Risk Analyst for the Executive Analysis Team.

The function of this team is to have a strategic oversight of the Market Risk measures and reporting across all portfolios and products. They interact with the CRO, the COO of Risk and the heads of Market Risk Reporting across products as well as the heads of Finance, Product Control, Market Risk Management and the Front Office.

The successful candidate will be educated to Masters level in a numerate / quantitative subject, and be a very analytical individual that has excellent communication skills to work with the senior stakeholders involved.

The successful candidate will have worked within a Market Risk Analyst role for at least 3 years and have strong product knowledge including complex derivative products.

There is plenty of scope to grow within this role, and the hiring manager is looking for ambitious individuals who are looking to build a career in a Tier 1 Investment Bank at the forefront of Risk Management globally. He will take people on at senior AVP or VP level.