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The role will work jointly with the Risk Manager and Head Trader and will combine a greater focus on Risk Analysis but with some genuine trading execution responsibilties as well.
Our client is looking for an individual who may be in a Risk role at a Hedge Fund now but is looking for greater opportunities, or you may be in a top tier Bank on a graduate programme which has given you a good grounding in Risk Analysis and you would like to use that knowledge within a highly succesfull Hedge Fund.
The Risk Analysis element of the role includes attribution analysis, explanation of in-house risk sheets to the investment team, responding to client requests and managing the FX trade calculation process.
The Trading element of the role includes working with the Head Trader to execute equity / equity derivatives / FX trades.
Our client is looking for a highly numerate individual (2:1 numerate degree from a highly regarded University will be essential as a minimum) who is likley to have had a couple of years od experience either in a Fund or top tier Bank. You will also need to possess very strong excel skills as these will be tested during the selection process.
This is truly a great opportunity to join one of the very best Hedge Funds in London and in a role which combines both Risk Analysis and Trading. Please send your details in strict confidence to email@example.com