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The function will work closely with a range of other business units, including the quantitative group, and will include a brilliant chance to work directly with a senior market risk professional to learn and develop your skills and knowledge
This will require previous market risk experience, and an understanding of risk within a capital markets/investment banking background, an understanding of VaR numbers, and of market risk analysis across asset classes. Exposure to market risk modelling will also be beneficial
The role is offering a starting salary in the range of £39,000 - £49,000 depending on experience, and will provide amazing career progression within the firm