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Market Risk Jobs

Barclay Simpson specialises in providing market risk jobs in the UK, Europe and North America. In the UK we recruit for market risk vacancies with major UK and international companies with market risk recruitment needs. We recruit all forms of Market Risk including:

  • Traded Market Risk: Sell side for Banks and other financial institutions
  • Traded Market Risk: Buy side for Hedge Funds and Asset Managers
  • Non-Traded Market Risk: Interest Rate Risk on the Banking Book (IRRBB)

Our international team recruits across all financial and non-financial institutions.

For up to date information on the current market risk recruitment market, including latest salary information, visit Risk Management – Market Report 2018 

Barclay Simpson is committed to equality of opportunity and promotes diversity. All applications for positions advertised on behalf of our clients will be accepted and reviewed solely on merit. Click here to view our Equal Opportunities & Diversity Policy.

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Latest jobs

Risk and Compliance Manager
  • Location Luxembourg
  • Salary €50,000 - €70,000
  • Job type
  • Sector
  • Description We are working with a market leading Investment Management firm who are expanding their presence in Luxembourg who are looking for a Risk & Compliance Manager with Luxembourg UCITS / AIFs knowledge.
Investment Risk Analyst
  • Location Luxembourg
  • Salary €60,000 - €90,000
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description Our client is a well-known asset manager with a strong international presence. They are seeking an experienced Investment Risk Analyst in Luxembourg to provide investment risk oversight.
Investment Risk Analyst
  • Location London
  • Salary 54,000
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description My client is a global asset management group looking to hire an investment risk analyst to join their London team. This is a fantastic opportunity to measure and manage risk across fixed income funds.
Market and Liquidity Risk Analyst
  • Location London
  • Salary up to 50,000
  • Job type Permanent
  • Sector Banking, Commerce and Industry
  • 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. ​
Front Office Investment Risk
  • Location London
  • Salary £65,000 - £75,000 Base + 40-50% Bonus
  • Job type Permanent
  • Sector Banking, Asset Management/Funds
  • Description An exciting opportunity for an Investment Risk Analyst or Investment Risk Manager to join the front office (I.e. rolling up to the CIO, rather than CRO) Risk position for a leading Asset Management fi
Front Office Quantitative Risk Manager
  • Location London
  • Salary £90,000 - £100,000 Base + 40-50% bonus
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description An exciting opportunity for a Quantitative Risk Analyst or Quantitative Risk Manager to join the front office (I.e. rolling up to the CIO, rather than CRO) for a leading Asset Management firm. The tea
Risk Manager, Brokerage
  • Location Abu Dhabi
  • Salary To £100,000 + Benefits
  • Job type Permanent
  • Sector Banking
  • Description An international brokerage, banking and fund management business is seeking an experienced risk manager for their brokerage operations.  Key responsibility will be to work closely with the
Model Validation for Market Risk, Counterparty Risk & Pricing
  • Location London
  • Salary £80,000 - £100,000 Base
  • Job type Permanent
  • Sector Banking
  • Description Exceptional opportunity for a quantitative individual to join an exciting and growing team. The role will cover all risk disciplines and pricing and offer a real breadth of experience.
Investment Risk Manager - Multi Asset
  • Location London
  • Salary £80,000 - £95,000 Base + Circa 30% bonus
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description An exciting opportunity for a managerial level Investment Risk Manager (Market Risk) at a buy side. Our client is one of the leading global asset managers and has a vacancy leading their multi-asset r
Investment Risk Manager
  • Location London
  • Salary £70,000 - £90,000 Base + 10-30% Bonus
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description Asset Management Investment Risk role at manager level, focused on Multi-Asset.
Quant & Market Risk Manager
  • Location London
  • Salary £100,000 - £140,000 Base
  • Job type Permanent
  • Sector Market Risk
  • Description My client is a leading international bank with a major hub in the UK. They don't have corporate titles and operate a relatively flat structure. The Head of Market Risk Management manages a team
AVP, VP or Director, Stress Testing
  • Location London
  • Salary £45,000 - £120,000 Base
  • Job type Permanent
  • Sector Market Risk, Enterprise Risk
  • Description My client is an international Tier 1 Bank. My client is setting up an exciting new team sitting under the Treasury CRO and looking to create a dedicated team to look at bank-wide stress testing for Ri
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