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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

Head of Investment Risk (Equities focus)
  • Location London
  • Salary £120,00 - £180,000 Base + Bonus
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description Exceptional opportunity at an Equities dominant buy side firm to join as the Head of Investment Risk
Financial Risk Manager
  • Location Frankfurt-am-Main
  • Salary €75,000
  • Job type Permanent
  • Sector Banking
  • Description Our client is a leading global brokerage and provider of online trading platform who are seeking an experienced Financial Risk Manager
Investment Risk Manager
  • Location Doha, Qatar
  • Salary £150,000
  • Job type Permanent
  • Sector Asset Management/funds , Asset Management/Funds
  • Description Joining the new investment risk team of a world leading investment fund to specialise in the analysis and measurement of risk within public markets assets.
Liquidity Risk Manager
  • Location Frankfurt am Main, Germany
  • Salary €80,000 - €110,000
  • Job type Permanent
  • Sector Banking, Banking
  • Description Our client is a leading international Investment Bank with a well-established German entity in Frankfurt . They are seeking an experienced Liquidity Risk Manager to be responsible for active liquidity
Liquidity Risk Manager
  • Location Doha, Qatar
  • Salary To £120,000 + Benefits
  • Job type Permanent
  • Sector Asset Management/Funds , Asset Management/Funds
  • Description Developing a new risk framework for a high profile investment organisation to cover liquidity risk across a wide range of asset classes.
Senior Risk Manager
  • Location Doha
  • Salary To£200,000
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description Leading a new risk management team covering private markets and alternatives for a leading global fund, advising on exposure of high profile investments in real estate, infrastructure & private equity
Market Risk Analyst
  • Location London
  • Salary £75,0000
  • Job type Permanent
  • Sector Market Risk
  • Description My Client is one of the worlds leading commodity firms who are on the search for a Market Risk Analyst to join the team. They need someone with Python programming
Hedge Fund Investment Risk Analyst
  • Location London
  • Salary £55,000 - £75,000
  • Job type Permanent
  • Sector Banking, Commerce and Industry, Professional Services, Asset Management/Funds
  • Description Exceptional opportunity for rates focused candidates from an Investment Bank to join a leading Hedge Fund
Oil Risk Manager
  • Location London
  • Salary £75,000 - £100,000 Base
  • Job type Permanent
  • Sector Commerce and Industry
  • Description Market Risk Management position in one of the worlds largest commodities trading firms
Investment Risk & Attribution Analyst
  • Location London
  • Salary £45,000 - £55,000 Base + Bonus
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description My client is an international Financial Services firm offering a huge breadth of exposure to; Private Wealth, Asset Management, Pensions, Wealth Planning and working with IFAs
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