Market Risk Reporting – Equities – Tier 1 Investment Bank recruitment
Market Risk Reporting - Equities - Tier 1 Investment Bank
My client, a Tier 1 Investment Bank has a vacancy in their Market Risk Reporting Team covering Equities.
This role is for a Manager for the Regulatory and Management risk reporting team in London, covering Global Equities.
This is an exciting opportunity which will deliver extensive exposure to different trading strategies is use throughout the global equities trading business for the bank, including derivatives, algorithmic trading, and OTC trading.
The position has arisen to replace a key individual and offers a great opportunity to learn, as well as develop relationships with senior management and stakeholders.
The succeessful candidate will have:
Solid and in-depth VaR experience
Expert level Microsoft Excel and Access knowledge, with VBA and SQL.
Market risk management/ reporting experience in Equity products, both cash and OTC.
Prior experience in market risk management / risk reporting
Exposure to team management
Please get in touch to discuss this opportunity in more detail.