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Senior Market Risk

Employer
Marlin Selection
Location
London, United Kingdom
Salary
Competitive
Closing date
Oct 1, 2022

View more

Job Function
Commodities
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
Your responsibilities will include:
  • Ensuring preparation of daily, weekly and monthly market risk reports including VaR, options, stress etc
  • Analysing and quantifying the risk of the company's portfolio
  • Contributing to the design and implementation of a holistic risk control framework
  • Providing support within the Market Risk team for the validation and optimisation of Risk models, including system testing and development


You will need to have the following experience:
  • 3+ years experience in risk management within an investment bank or energy trading
  • Background in commodities, in particular gas and power
  • Knowledge of VaR, Scenario Analysis, Back Testing and other market techniques
  • Coding experience beneficial


For more information contact Paula at Marlin Selection and apply via the link provided.

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