Market Risk Analyst (1-3 years exp)

  • £MarketRate
  • London, England, United Kingdom London England GB
  • Permanent, Full time
  • Saxton Leigh
  • 16 Jul 18 2018-07-16

Our client is the branch of one of the worlds largest banks. In the UK they provide Corporate Banking and Treasury services. They are currently looking to hire for their risk team. The person needs a strong IT background as they are looking to further automate their systems.

 

RESPONSIBILITIES

Primary responsibility is to provide support in risk reporting, secondly to provide assistance in market risk management;

Generate periodic risk exposure reports and provide exposures analysis;

Input, monitor and review the limits in system; advise matters relating to trading limits and utilisation;  

Alert and follow up any limit excess, and ensure the correction actions and procedures are applied;

Monitor the market movement daily and report and provide analysis to the Head of risk; work closely with the traders for any follow-up action if necessary;

 

EXPERIENCE

Market Risk experience.

Good IT knowledge.

Graduate