Market Risk Manager – Commodities recruitment

Market Risk Manager – Financial Services

London

To £80,000+Bonus+Bens

Our client, a top investment bank, requires a Market Risk manager to be responsible for the day-to-day analysis, risk management and reporting of traded commodity products. The Market Risk Manager will be responsible for all softs, metals’ and hard commodity products, with a particular emphasis on softs’, reporting directly into the Global Head of Commodities Risk.

If you have experience working within the Market Risk environment for Investment banks in risk management, control or operations, and have focused on commodity products, then this role provides an excellent opportunity for career progression and obtaining a superb remuneration package.

This exciting role, will require an individual who has the gravitas to speak to key stakeholders and work with other key areas of the business.

If you would like to discuss this vacancy before applying, please call James Cook on 020 7936 2601 or email jc@barclaysimpson.com.