Market Risk Manager – Oil Derivitives recruitment

An opportunity exists with one of the UK’s premier financial businesses based here in London. Working as a Market Risk Manager within a physical and dervitives oil trading desk you will be managing a team of 4 analysts looking after the development of market risk models, in particular using monte carlo models for options valuation. You will be operating in a complex, interdependent trading environment. 50% of the role is focused on hands on risk management and monitoring of assigned trading desks, the other 50% is focused on management activities, training and development of your team.

We are looking for an expert in the Oil trading market, you will have prior experience in market risk when trading oil derivatives. You will have an excellent understanding of technical aspects of market risk simulation and modeling. A numerate degree and excellent communication skills are essential. Also candidates should be able to live and work in the UK without restriction.

The role offers an existing manager the opportunity to move into a large, stable and well established business. You will adopt an excellent existing team who are able to deliver results from day one. In the future heads of risk positions are available within this division and others.

Apply online or call Richard Smith on 0207 398 3600 for more details from January the 3rd.