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Market Risk Manager (Equities & Fixed Income) FS London


£80000.00 - £90000.00 per annum


Twenty Financial Services are currently recruiting for a Market Risk Manager focussing on Equities and Fixed Income for a global Financial Services business based in London.

Sitting within the quantitative risk division the role will have a strong focus on analytics covering pricing, VaR, model calibration and stress testing. There will be a significant amount of project and automation work that will cover roughly 50% of the daytoday activities in addition to the risk and data management


Develop the risk analytics function, covering various models and the testing of frameworks Act as a risk SME on project work with the technology and change teams Validation of market data from Bloomberg/Reuters using algorithms to automate the process Contribute to the quant library developing solutions and tools Production of daily, weekly and monthly risk reports

Skills required:

Strong Market risk experience Fixed Income or Equities background Experience working with large data sets and ability to manipulate these Knowledge of VBA and SQL and desirable to have R or Python Experience using Bloomberg or Reuters

Posted 42 days ago

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