Job Vacancy Details
Investment Bank
London
Permanent
Updated August 25, 2008
The role of the Market Risk manager - Credit Products will be involved in Risk management rather than risk control. the emphasis of the role will be Risk methodology. specifically the role is to manage the quantitative side of traded Credit Risk.
The main aspects of the role will be to:
• Undertake detailed analysis of all trading positions to ensure management is aware of the Risk profile being run by the business.
• Support the new product process
• Specifically summarise risk position information and scenario analysis.
Who we're looking for
The ideal candidate will have excellent Market Risk knowledge and specifically a thorough understanding of Credit products.
• You will have a quantitative first degree and preferably a relevant masters.
• Will be a clear and effective communicator, persuasive in interpersonal communication.
About our client
our client is a global Investment Bank
What's on offer
An attractive salary is on offer to the right candidate
Michael Page Contact
For further info, apply or phone on 020 7645 1423.
Job Ref: 12954967
Your application will be sent to James Mayo.
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