Market Risk recruitment

One of the reasons for this  Fund's success has been its ability to attract and retain the Industry's brightest stars. Leveraging its intellectual capital has been key to its performance and AUM numbers continuing their upward trajectory over the years. You will be working with and surrounded by alumni from all the major universities. . The work is highly varied and challenging. The actual day to day work will be tailored to reflect the interests and abilities of the successful individuals.

In terms of experience the ideal candidate will have been in banking for 5-6 years and be looking to move into a role where there is real responsibility and individual performance is respected and rewarded accordingly. Ideally you will come from a trading, market risk, IT or quantitative analytics background. SQL expertise plus exposure to Sophis. Barra, Riskmetrics would be helpful.

This particular Fund has a history of developing its people and promoting from within.This particular career path has in the past been a step along the path to a front office trading/portfolio management position. The working environment is second to none and the financial rewards in terms of total comp are unlikely to be matched on the Sell side or in most hedge funds.

If you would like to discuss these opportunities and have a look at the functional specs, please send your resume through to andy.daruk@miragerecruitment.com