Market Risk – Interest Rate Derivatives recruitment

A top tier Investment Bank if looking for an experienced Market Risk Analyst to join them at either Associate or VP level. The role will report into the Head of Fixed Income Market Risk and involve all aspects of market risk, measuring, analysis and reporting.

The role is front office facing and interacts with the trading desks to inform senior business managers, the heads of the team and also the traders and strategists about any changes and what impact these might have.

Individuals with a strong background in Risk and an in-depth understanding of Interest Rate and Treasury products will be successful in the interview process. Previous hands on experience with diverse market risk measures such as VaR, stress-testing and Greeks is also key as is strong academic background and a confident personality to challenge and innovate.

This opportunity will give the right individual the step up in their career and also the chance to gain experience in working with one of the most profitable and growing banks in the City.

For a confidential discussion on: call Lucie on 0207 430 7246 or email your CV to lucie.pychova@ambition.co.uk