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Balance Sheet Modelling

  • Location: South West England
  • Salary: £50,000 - £75,000
  • Job type: Permanent
  • Job reference: KQ/169282
  • Sector: Banking, Banking, Market Risk, Credit Risk, Asset Management/funds , Banking, Asset Management/Funds , Asset Management/Funds , Other Financial services , Other Financial Services , Insurance , Pricing
Job Description

This interesting and business-critical role will see you take responsibility for developing new statistical models to aid the firm's established Treasury function in identifying and mitigating risk.  The role will give you lots of exposure to the wider business and senior stakeholders.

The role sits within the Balance Sheet Risk team, reporting into an experienced Senior Risk Manager.

The firm is looking for someone with the following:

-       Quantitative degree

-       Experience in a range of statistical modelling techniques (linear/logistic regression, Monte Carlo simulations, VaR)

-       Coding/programming software familiarity (SAS, SQL, VBA or similar).

 

The firm have a substantial budget for the hire, and have an excellent reputation within the market of providing a positive working environment, with strong career progression opportunities.  They have an established bonus culture to reward strong performers.  The firm are known for empowering their staff and encouraging them to expand the breadth of their technical knowledge through interesting and varied project-base work.

 

The firm are looking to begin reviewing CVs this week - so if the role sounds like it could be of interest, please don't hesitate to reach out to Katy Quicke on 0207 936 8933 / kq@barclaysimpson.com.

 

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