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Market Risk Analyst

Investment Banking

London

Temp ⁄ Competitive

Updated February 4, 2012


§ Own the Exceptions report; identify/resolve inconsistencies and follow through on actions

§ Own the Master Mapping sheet; ensure new product changes are tracked

§ Set up and run weekly RFI Working Groups meetings (agenda; facilitate; meeting minutes)

§ Ad hoc analysis (and resolution) of exceptions

§ Provide SME/challenge/feedback on Risk Factors and categorizations

§ [Collate and distribute materials for the monthly VaR Governance Steering Committee]

§ [Co-ordinate the quarterly Risk Type Implementation update for the FSA]

§ [Liaise with the CAD2 team to ensure deliverables are reviewed prior to FSA]

Who we're looking for
§ Experience of working in a Market Risk department for an investment bank

§ Strong knowledge of Market Risk, Products and Risk Factors

§ Good excel / access skills

About our client
Investment Bank

What's on offer
Competitive

Michael Page Contact
For further info, apply or phone on 020 7645 1457.  Job Ref: 13191980
Your application will be sent to Jason Taylor.

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