Market Risk Analysts- Junior Position - Leading International Banks (London)
London, England, United Kingdom
The areas of focus are Forex, Money Markets and basic Derivatives (IRS, options, etc.) products. You will be looking at strategies, regulations, risk management frameworks and risk reporting and analysis. This is a very good opportunity for someone looking to develop their market risk expertise and understand FX/Derivatives products to immense detail. This role is two part and will include an element of Product Control and Market Risk Analysis. This role allows the successful candidate to learn market risk management form a holistic point of view and apply their skills and knowledge to a variety of tasks.
The team is hiring rapidly and I have a headcount of two; one Mandarin speaking and one non-mandarin speaking professional.
- Experience within Market Risk Analysis/Reporting
- Understanding of Risk Frameworks/Product Control
- Good Excel Skills (VBA/SQL Preferred)
- Fluency in Mandarin (optional- not required)
Please get intouch: email@example.com | 0207 092 3286