Senior P&L and Risk Controller recruitment
The responsibilities would include the following:
- Daily PL and Risk production / explanation
- Market risk analysis, new deal valuation and verification
- Model calibration, parameter control etc.
- Control reconciliations
- Client valuations
- Independent price verification
- Team management
Most desirable profiles would include the following:
- 3+ years PL and Risk controlling experience with top-tier investment banks or hedge funds
- Experience in working with senior executives front-to-back including FO, controlling and operations
- Proven ability to manage teams
- In-depth knowledge of Credit Derivatives, including Exotics
- Excellent communication skills
- Extremely hard working
- Bachelors degree or higher plus accounting qualifications
Location: London
Duration: 6 months (extension possible)
April 3, 2012
• Tags: Risk Management careers in the UK, Senior P&L and Risk Controller recruitment • Posted in: Financial