AVP Equity Risk Manager : London

In Current Vacancies, Risk Jobs

A Top Tier Investment Bank is currently seeking an experienced market risk manager to join their Equity trading business in London. This is a highly quantitative Equity Risk Management position involving all aspects of pre-trade risk analysis across global capital markets. You will be the primary point of contact with trading hubs and senior management with a seat on the trading floor. You will deal with the most complex exotic derivative products traded by the bank with excellent opportunities for progression across the front office.

Candidates for the AVP Equity Risk Manager should be educated to MSc / BSc level, or equivalent, within a quantitative related discipline.

The role demands experience in nurturing strong business relationships with a diverse range of global business partners (desk heads, front office risk managers, product controllers and IT) and to have a strong process orientated background with experience in building, managing, and improving processes. Strong VaR skills and Equity product knowledge are essential.

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