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Market Risk Analyst / Manager - Leading Hedge Fund - Market leading co
The role reports directly in to the Head of Risk and will sit with Portfolio Managers that you have ownership over. The PM's in question require a dedicated risk management professional to focus on their expanding book / market. The hire will therefore work closely to Portfolio Managers who are widely renowned throughout the European Hedge Fund space, arguably leaders in their own specific field. The hire should see this as an opportunity to use sophisticated financial models, and to build expertise in the valuation + analysis of a range of complex products, working with highly renowned Portfolio Managers. Exceptional systems and infrastructure is already in place, so the hire will have a core focus on a pure business / markets element, high level analysis and value add work. You are encouraged to work with your designated Portfolio Managers on topics, ideas and will be allowed a genuine involvement in trading ideas. We are ideally looking for somebody with circa 5yrs risk management experience to step up in to the role. We can look at IB or Hedge Fund candidates. It is a pre-requisite to be from a strong derivatives background, with exotics experienced preferred. You should have programming skills that extend beyond VBA (Python and Matlab would be most useful, but we are happy to look at SQL, R, C# etc.) The client has a flexible budget that allows for an attractive increase in current base. The firm are offering its star performers a bonus in excess of what its competitors are offering and as such an exceptional individual will be paid a very attractive six-figure total compensation package.
Job Details
Job Ref: 219874657
Start Date: Tue, 30 May 2017 23:00:00 EST
Hours: Not Specified
Location: London, United Kingdom
Working Term: Permanent
Salary: GBP GBP - Annual Annual