Senior Market Risk Manager – Interest Rate recruitment
Top Financial Institute is seeking an experienced Market Risk Manager to join its Risk Team and assist with the management interest rate related work. The successful candidate will be required to manage the risk new products, and interest rate products
Previous experiences in Market Risk Management of Interest rate products including Interest Rate swaps, Repos, and Market Bonds is necessary, as is experience in Management of a team of Risk Analysts. Candidates must have very strong analytical skills and at least degree level qualifications ideally in a quantitative related field.
November 14, 2011
• Tags: Debt, Fixed Income careers in the UK, Interest Rate recruitment, Senior Market Risk Manager • Posted in: Financial