Market Risk Analyst
Danos Group
Job Description
Working with an international bank seeking a Market Risk Analyst to join their London team . This is a broad, hands-on role focused on market risk monitoring, reporting and exposure analysis across treasury products. This is a 6 month contract, requiring 5 days in an office and will be paying Β£250 per day , with an ASAP start .
Key Responsibilities: Monitor daily market risk exposures and ensure adherence to approved risk limits. Produce accurate market risk reporting for senior management and Head Office. Support calculation and analysis of risk metrics including VaR, DV01 and FX exposure.
Assist in stress testing and qualitative risk assessments across business lines. Contribute to improvements in market risk methodologies, systems and reporting processes. Support oversight of counterparty credit and country risk.
Liaise with Head Office on market risk matters and assist with policy implementation. Key Requirements: 1β3 yearsβ experience in Market Risk or a related function. Strong understanding of market risk concepts and reporting.
Experience with treasury products (FX, Rates, etc.). Able to work 5 days a week in a London office and start ASAP. Please apply below or message Nicole Poole at Danos Consulting to learn more.