Specialist Market Risk Analyst AVP/VP – Executive Analysis Team –Successful Tier 1 European Bank – London recruitment

 The team work alongside IT, Front Office, Regulatory Risk and other risk groups in an almost clockwork like fashion to deliver a bespoke strategic output.

Key Responsibilities

• Analysis of significant risk, PnL and capital moves

• Report on these changes and provide a valuable commentary on positional moves

• Understanding products and strategies and measures including VaR and stress testing

• Build strong relationships with other risk groups and senior management

• Maintaining the strong level accuracy and completeness of weekly/monthly risk reports

Ideal Skills

• Degree in a quantitative discipline, MSc preferred.

• Solid background in risk management or reporting/analytics

• Strong derivative knowledge (Greeks/ pricing/RWA/Balance Sheets)

• Strong VaR and other risk measurement knowledge

• Good Excel skills

• A Self-Starter who can work well alone or as part of a team whilst maintaining the ability to perform under pressure

If you would be interested in discussing this brilliant opportunity then please send an up to date CV to Sammy; s.khelil@westbourne-partners.com

http://www.linkedin.com/groups?home=gid=4149752trk=anet_ug_hm

Westbourne Partners have recently launched our new website with a number of new vacancies, please visit the website to get more information about our current live requirements www.westbourne-partners.com and follow us on twitter www.twitter.com/westbournep