Market Risk Analyst (1-3 years’ experience)

Quantitative Finance & Risk
26th February 2018
London, United Kingdom
Job Type
Pay up to £60,000


This role reports into the Head of Market Risk, and will also provide opportunities to delve into other risk types as well as holistically understand how our business functions.

  • Market Risk experience
  • Understanding of Fixed Income.
  • Investment Banking experience
  • Operations and/or Liquidity risk experience a plus
  • CFA (or another professional designation) or demonstrable progress towards one
  • Demonstrable interest in computer programming (Excel VBA, R, Matlab, Python, Java, C++)

For any more information please contact

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