Trading Floor Market Risk Manager – Fixed Income recruitment
Role Requirements
The successful candidate will be responsible for ensuring market risks are identified, monitored, controlled and reported in accordance with bank policies. He/she will analyse and make recommendations on new products and other market risk limit issues, including limit structure and amounts, for presentation to the Market Risk Management and Policy Committee.
Candidate Requirements
3 to 5 years related experience in risk management or trading role with direct experience in Fixed Income trading (Gov’t debt and swap trading) and valuation. Experience with EUR and GBP rates markets preferred. MBA or post-graduate degree in economics/finance or a quantitative discipline, and CFA designation preferred.
If you think you meet the above criteria please send your CV to allister.richardson@hudson.com apply now or call 020 7187 6048 to discuss.