- Production of Market Risk reports and distribution to trading desks
- Analysis explanation and understanding on Greeks VaR Stress tests and Capital
- Regulatory and other Market Risk exception reporting
- Assist on impact tests as a result of Regulatory changes including IBOR & FRTB
- Assist in implementation of Audit and Validation recommendations related to Market Risk
- Updating stakeholders on progress for risk systems change
Qualifications :
- Solid finance background with sound experience in risk management
- Excellent Excel and coding skills particularly SQL and Python
- Good problem solving skills.
- Good communication skills both verbal and written
- Good organisation and time management abilities
- Project management basics.
- Must be able to thrive under pressure and co-ordinate the work of teams that are geographically dispersed
Must have the right to work in the UK. No Sponsorship provided
Remote Work :
No
Employment Type :
Full-time