This role will report to the senior Vice President of Credit Trading Risk and will sit on the trade floor alongside the traders. This role will involves managing relationships and evaluating trade ideas with the front office, producing risk analytics and managing stakeholder engagement.
Responsibilities:
- Maintain dialogue and advisory with the front office trading teams
- Managing the market risk frameworks and limits
- Be a key person in developing and implementing risk analytics and metrics
- Contribute to risk business and stress testing scenarios
- Improve key trading risk exposures to become more transparent for senior business stakeholders
Qualifications:
- 2+ years of experience in risk or quantitative functions
- Strong written and verbal communication skills
- Strong knowledge market risk
- Familiar with the market and market characteristics
- Highly motivated for long term growth opportunities
