VP Risk Analyst / Manager recruitment

The firm is focused on the Emerging Market Credit space and are looking for someone who has an extensive skill set within this area. The role will be based in the UAE but our client has extensive experience of relocating people from London / Paris etc, as they have done so for most of their senior management team. This is not a Risk Reporting role and our client is looking for someone with the following background:

Circa 5 years plus experience in a top tier bank within the Risk Management function

This Risk Management experience must be within the front office environment and not within market risk reporting for example.

Ideally, the candidate will be involved with the risk management of the bank's exposure, such as hedging the bong prop trading book, the counterparty exposure through CDS', the macro exposure to interest rates, FX, volatility, credit etc.

A good quantitative background is required along with excellent academics.

This represents an urgent need for our client and the CEO will be in London before Christmas to interview individuals for this role and others.

A great opportunity to join an exciting buy-side firm that is established but growing rapidly and that has extensive experience of relocating employees from other parts of the globe to their Head Office in the Middle East.