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AVP Credit Risk Manager - US Investment Bank - London
My client, a US investment Bank in London are looking to hire a Cross Asset Market Risk Manager. This role will see you work closely with both traders and quants whilst focusing on the EMEA market. The team is currently expanding so this position promises fantastic career progression.
Challenge Traders on a daily basis
Review new products and non-standard transactions
Develop new knowledge of Market Risk IMA Methodology
Monitor positions against risk limits
Identify and analyse all significant exposures across the entity.
Degree in numerate subject
An understanding of the fixed income markets, asset classes and products
Experience with working closely with the Front Office
4+ years of experience in working in Market Risk, ideally in an investment bank
Proficient in VBA
Internal Number: 6303188
About Selby Jennings
eFinancialCareers is a career site specializing in financial services.