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A Top Tier Investment Bank are recruiting for a Market Risk Analyst to join their Stress and Scenario Calibration Team on a Long Term Contracting basis.
The Successful Market Risk Analyst will need to have the following skills:
Quantitative Educational Background ideally up to Masters Level
Previous experience as a Market Risk Analyst and/or Product Control within Investment Banking.
A thorough understanding of financial markets, trading business and market risk measures
Understanding of key risk factors for products, risk sensitivities and how they are measured
Ability to explain an end to end VaR process and how VaR is generated/calculated.
Understand and explain the main risks - VaR, sVaR, and Stress testing.
Strong Python experience. The ability to automate reports on a daily basis
Good analytical and problem solving skills
If this is of interest to you please reply with your updated resume as it is an urgent requirement
To find out more about Huxley, please visit www.huxley.com
Huxley, a trading division of SThree Partnership LLP is acting as an Employment Business in relation to this vacancy | Registered office | 1st Floor, 75 King William Street, London, EC4N 7BE, United Kingdom | Partnership Number | OC387148 England and Wales
Internal Number: 6090031
About Huxley Banking & Financial Services
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