Market Risk Manager - London, United Kingdom - eFinancialCareers
Description
Responsibilities.
- Understand the different market risks arising form a number of different products
- Interaction with Trading Desks to review the daily trading and market activitys
- Investigate Complex derivative transactions and suggest any changes where required.
- Support the developemnent of new market risk management frameworks
Requirements.
- A University degree form a Quantitative discipline.
- Experiance in a markets related role
- A strong knowledge of IB products and financial markets.
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