Senior Risk Consultant – Market and Credit Risk – London recruitment

The successful applicant will be responsible for providing solutions to the company’s clients (Investment Banks and companies that sit within Buy Side) by making use of the company’s and their own expertise in finance, financial engineering and technology. This exciting role allows the risk consultant to be heavily involved with both pre sales and implementation as well as granting exposure to diverse projects.

To support these growth areas, my client is looking for individuals with a proven track record in risk management (Market and Credit) from an Investment Bank, with a deep knowledge of all asset classes. A Quantitative background in both academia and previous roles is a prerequisite as individuals need to be able to assess risk methods and methodologies in great detail, to provide a tailored solution.

Applicants should also have a good understanding of risk management in regards to regulatory requirements (Basel, MiFID, Dodd-Frank etc) and experience with Model Validation. Ideally applicants will also have experience in pre sales and/or working for a consultancy due to the levels of client interaction.

Salary: £50-85k dependant on experience + competitive benefits

If you possess the relevant background and are interested in this opportunity, please send me a copy of your CV to r.broadhead(at)realglobalmarkets.com or contact me on 020 7398 3600.

Applicants must have the right to work in the UK as sponsorship is not available. Unfortunately I cannot reply to every unsuccessful applicant