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Fixed Income Market Risk Manager - Major International Bank

  • Location: London
  • Salary: £100,000 - £110,000 Base + Bonus
  • Job type: Permanent
  • Job reference: JL/172475
  • Sector: Market Risk
Job Description

An international major investment bank is looking to hire an additional individual into their Fixed Income Market Risk Management team. The candidate may come from any Fixed Income product specialist background such as Interest rates, flow credit, structured Credit or Asset Backed securities. The role will enable the successful candidate to broaden their expertise into other areas of Fixed Income.

 

The position will face off to the traders and enable significant influence both to trading and senior management. Candidates will come from Market Risk Management (rather than reporting) roles elsewhere and have experience to VP level. Our client offers flexibility to working arrangements and is not currently back at their London office in entirety.

Candidates must have strong communication and ability to persuade key stakeholders. Coding knowledge of VBA, Python or similar will be highly valued.

 

If you are interested in finding out more, please get in touch urgently as the interview process has already started. 

Lead recruiter: Josh Lawson, jl@barclaysimpson.com 

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