Risk Manager role to support Global Rates Trading Business, overseeing portfolios, monitoring risk, and interacting with Portfolio Managers.
Requirements
- Significant relevant experience gained in IB or buy side within Risk or Sales/Trading
- Strong knowledge and deep experience in Rates or Credit Markets
- Modelling Knowledge (Fixed Income Products, Pricing, VaR)
- Technology/Programming skills (Python/ SQL/VBA) are desirable
- Excellent analytical skills, along with the ability to communicate and present complex information effectively