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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

Senior Market Risk Analyst
  • Location Luxembourg
  • Salary €90,000
  • Job type Permanent
  • Sector Banking
  • Description Leading International Bank is looking for a Senior Market Risk Manager to join their team in Luxembourg.
Head of Risk
  • Location Luxembourg
  • Salary €120,000 - €130,000
  • Job type Permanent
  • Sector Asset Management/Funds
  • Description Leading Asset Manager is looking for a Head of Investment Risk for their Luxembourg office.
Portfolio Risk Manager
  • Location Abu Dhabi, UAE
  • Salary To £130,000
  • Job type Permanent
  • Sector Market Risk, Asset Management/Funds
  • Description Investment portfolio risk assessment and reporting for a leading sovereign fund, working closely with investment managers in a challenging and rapidly developing enterprise.
Performance Analyst - Fixed Income
  • Location London
  • Salary £50,000 - £75,000 permanent equivalent
  • Job type Contract/Temp
  • Sector Asset Management/Funds
  • Description An exciting opportunity to work for a leading fixed income buy-side firm in a wider risk, performance, and quant team.
Investment Risk Senior Manager - Equities
  • Location London
  • Salary £120,000 -£145,000 total compensation
  • Job type None specified
  • Sector Asset Management/Funds
  • Description My Client is a UK Based international firm which operates both Fixed Income and Equities asset classes. An exciting opportunity to join a relatively small Investment Risk team.
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