Investment Risk Analyst - Graduate Role!
- Employer
- Barclay Simpson, EA Licence No: 11S4540
- Location
- London, United Kingdom
- Salary
- £35,000 - £45,000
- Closing date
- Aug 22, 2021
View more
- Job Function
- Other
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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My client has a very unique role to offer a candidate the opportunity to develop best practice in Investment Risk (Market Risk, Counterparty Risk and Liquidity Risk for the buy side).
My client is a fintech, born out of one of the top hedge funds in the world. They have taken the concept of Risk Management as a cost centre and turned it on its head, offering risk services to other organisations and creating a separate revenue stream. They are growing and need an additional member of the team.
In the Short to medium term, the successful candidate will operate as an outsourced risk function to analyse risks for a variety of firms and create bespoke reporting solutions. In the medium term candidates will develop a sense of best practice and will face off to senior members of client firms up to CEO level to advise on Risk Management and the bespoke solutions that the company can offer.
Candidates be required to understand financial products (Equities, Rates, Credit, FX) and have some coding experience (Python, SQL, VBA, R or similar).
Candidates with any level of CFA will be preferred.
Please get in touch urgently as there will be high demand and only a limited number of candidates can be represented.
Candidates will require a valid entitlement to work in the UK without further sponsorship. Applicants who require sponsorship will be automatically rejected.
My client is a fintech, born out of one of the top hedge funds in the world. They have taken the concept of Risk Management as a cost centre and turned it on its head, offering risk services to other organisations and creating a separate revenue stream. They are growing and need an additional member of the team.
In the Short to medium term, the successful candidate will operate as an outsourced risk function to analyse risks for a variety of firms and create bespoke reporting solutions. In the medium term candidates will develop a sense of best practice and will face off to senior members of client firms up to CEO level to advise on Risk Management and the bespoke solutions that the company can offer.
Candidates be required to understand financial products (Equities, Rates, Credit, FX) and have some coding experience (Python, SQL, VBA, R or similar).
Candidates with any level of CFA will be preferred.
Please get in touch urgently as there will be high demand and only a limited number of candidates can be represented.
Candidates will require a valid entitlement to work in the UK without further sponsorship. Applicants who require sponsorship will be automatically rejected.
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