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Market Risk Management Associate

Investment Banking

London

Permanent ⁄ £40000 - £55000

Updated February 16, 2012


Excellent opportunity for anoutstanding candidate to join the London office of our client, an expanding international investment banking group, as a Market Risk Management Associate.

What will this role do for me?

Candidates looking for the next step in their career should consider applying.

There is a flat management structure, giving you good exposure to senior decision-makers to compliment your daily interactions with trading.

You will build a detailed knowledge of risk management in the Credit Portfolio Management space

You will also be exposed to the design and implementation of a new risk framework


Key responsibilities:

?X Run the daily and monthly market risk reporting on the European Global Markets activity and the European Credit Portfolio Management positions
?X Investigate and analyse market risk and profit and loss, commenting on all notable transactions and changes.
?X Provide valid market data to the front office and the back office on a daily basis
?X Organise timely reporting to management and to relevant departments
?X Monitoring market activity and alerting management on any event that is relevant to the current positions

Who we're looking for
You must have:

?X Prior experience in a similar role
?X Knowledge of Treasury Products (Interest Rates, FX) and Credit Default Swaps
?X Knowledge of Microsoft Excel and SQL

About our client
International investment banking group

What's on offer
Up to £55,000 & bonus & benefits

Michael Page Contact
For further info, apply or phone on 0207 645 1419.  Job Ref: 13189853
Your application will be sent to Alex Ellis.

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