Portfolio Risk Manager- Geneva- Buyside recruitment
The successful, well established team covers multi-assets, including FX, FI and Equity across emerging markets, and have had a very successful year in 2011. On a daily basis the successful candidate will have a very varied routine from looking over systems, getting data out of them to collaborating with the PM to devise ways of avoiding risk. Successful candidates will need to have: At least 5 years working experience (preferably in a cross asset or Fixed Income environment) Managed money and either worked closely with PMs. A good knowledge of the industry and the markets Excellent Read more […]