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A Tier 1 Investment Bank in the city are looking for a number of quantitative risk analysts to work on various tasks necessary for the management of our several types of risk - strategic, market and credit. The chosen individual will need good knowledge of data analysis, risk products and to be able to code in Python or C++.
Knowledge of Global market risk management.
Data Analysis / Analytic skills
Ability to face of to senior stakeholders
Product knowledge - Market and credit risk
The team are looking for someone with 3-4 years experience and preferably worked in a quantitative environment before.