VP – Risk Management – Tier 1 Investment Bank – London – 130k recruitment

VP - Risk Management - Tier 1 Investment Bank - London - six figure package

My client, a Tier 1 Bank, is going through record growth with the expansion of the one of the leading derivatives platforms globally. It is therefore growing one of the most advanced Risk functions headquartered in London at a similar rate.

As part of this we are working with a global director who is building a high profile back testing team to oversee the global expansion of the risk team with Basel III, CRD IV coming out. They are keen to hire candidates from a Credit Risk/Market Reporting or BA background as well as Product Control with good knowledge of derivative products particularly equities, equity finance or derivatives would be ideal but they are open to other asset classes.

With the growth of the team you will be liaising with the Senior Directors including CRO level within Market and Credit Risk. The intention of this role is a career move and you can move into a number of paths across Credit, Market and Counterpart Risk. This team sits with the Front office for the bank and has a history of providing a path to a FO Trader role for those who excel across multi asset classes. My client is shortlisting this week and interviewing next so feel free to call or send your cv in absolute confidence.