Tier 1 Investment Bank is seeking a motivated, driven, and hard-working candidate to join its highly competitive global front office market risk management team. The team covers the Rates and Fixed Income business and is seeking a like-minded individual to grow the brand both regionally and abroad. The candidate will be expected to interact with traders and defend their findings to the business. This position will challenge the individual in both a quantitative and qualitative capacity.
Identify and analyze all significant risks across the Rates and Fixed Income business and present findings to Senior Leadership.
Perform Risk and VaR analysis for regulators.
Mentor junior analysts and represent the team across function projects.
Strong mathematical fundamentals with an honors degree in either engineering, math, physics, or numerate subject
Good working knowledge of rates and fixed income products
Expert in Derivatives products
Hands on programming skills, knowledge in VBA and Python
Strong interpersonal and communicative skills are a must
5+ years of experience in a front office market risk role.