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Market and Liquidity Risk Analyst

  • Location: London
  • Salary: up to 50,000
  • Job type: Permanent
  • Job reference: BJM/167186
  • Sector: Banking, Commerce and Industry
Job Description

My client is an international Investment Bank looking to hire a risk reporting analyst to join their London team. This is a fantastic opportunity to work across Market and Liquidity risk.

 

Responsibilities

  • Production of reports and limit management for Market, Regulatory and Liquidity risk management on daily as well as ad hoc basis for Risk managers and Head Office
  • Excess management analysis and monitoring
  • The ownership of system testing and requirements
  • Creation and maintenance of procedures and reporting documentation.
  • Stakeholder management

 

 

Essential

  • Proven experience working within Risk/Risk Reporting teams within Investment Banking
  • Market and or Credit Risk experience
  • Relevant product knowledge such as Fixed Income or Derivatives
  • Experience in the preparation & delivery of reports
  • Strong interpersonal and communication skills
  • Competent with VBA and Excel

 

If you would like to be considered for this role, please submit your CV. 

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