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The role will involve working closely with portfolio managers to provide comprehensive coverage of the risk management processes, and holds a strong quantitative aspect and will require in depth understanding of risk model methodology.
Strong communication skills both written and verbal and confidence developing effective relationships with key stakeholders both within the business and externally.
The role will require:
In depth experience in a senior investment/market risk function within a buy side firm, along with knowledge and experience developing risk systems for equity portfolios.
Strong quantitative,analytical and data management skills
Working knowledge and experience using MATLAB and SQL
In return, the role will be offering a basic salary in the range of £95,000 - £120,000, plus excellent bonus and benefits.