Fixed Income Market Risk recruitment

Asset Management looking for Fixed Income Market Risk Analyst Manager (1yr – 5yrs experience) Requirments – good Fixed Income knowledge, Market Risk Experience, numeric degree Jnr role will get exposure to senior stakeholders and conduct daily VaR analysis. Snr role will report to Head of Market Risk for Fixed Income. Looking for someone proactive who can challenge existing systems and ways of doing things. Both roles provide opportunity to develop career within top tier asset management firm, and develop leadership skills. Finance Professionals is part of Hydrogen Group. Read more […]

December 11, 2011 • Tags: , , • Posted in: Financial • Comments Off on Fixed Income Market Risk recruitment

Fixed Income Market Risk recruitment

Market Risk, Analyst, Manager, Fixed Income, Bonds, Repos, Value at Risk (VaR), MS Excel, VBA, LondonMy client a leading financial institution is looking to hire an experienced Fixed Income (Repo/Bonds) market risk analyst to join their growing business. The ideal candidate will come from a proven background of market risk management with specific expert knowledge of fixed income products including repos and bonds. Essential technical experience required for this role include a deep knowledge and understanding of Value at Risk (VaR) methods; Experience of analysing stress and scenario testing Read more […]

August 11, 2011 • Tags: , , • Posted in: Financial • Comments Off on Fixed Income Market Risk recruitment