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This role would be ideal for someone who has solid quantitative experience working with electronic trading algorithms, and a risk mindset. The role will involve, for example, analysis and validation of the algorithms, and the provision of feedback to the algorithmic quants and second line risk teams to ensure they are in line with the bank's risk reward profile and have been assessed for control gaps.
This role takes a cross-asset focus on rates, FX and credit. Specific asset class experience is not obligatory. The ideal profile will be someone with a mix of quant, risk and technology experience, gained at a leading bank or hedge fund.