This is an exciting opportunity to be at the very forefront of the action. Working closely with a seasoned Chief Risk Officer, sitting on the trading floor and working with some of the best minds in the business.
For Market Risk Managers in a banking environment where the regulation, reporting and bureaucracy dominate the working environment, this position would represent a refreshing new challenge.
The role will offer the opportunity to work in a small team, learn and develop. The position will offer the opportunity to develop skills in portfolio construction and pre-trade analysis.
The Hedge Fund is Fixed Income focused, and candidates would have strong Interst Rates product knowledge. Candidates MUST have Python coding experience and be eligible to work in the UK without the need for sponsorship.
The client is currently interviewing despite the current market challenges, so please get in touch urgently if you are interested in finding out more.