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The role is for a Risk Manager to join the London Fixed Income Market Risk team. The team sits on the trading floor and interacts with the Front Office daily. The position focuses on the European Credit Trading business, which spans several desks, from IG credit to high‑yield and distressed.
The day‑to‑day responsibilities include defining risk appetite and limits, engaging with Trading to understand and challenge positions, communicating with senior management regarding market developments, risks, and P&L, providing input into new business initiatives, and offering expertise on market risk‑related topics across the firm.
In addition to focusing on macro‑level sensitivities (VaR, stress, CR01), the role holder will also play a key role in assessing single‑name risk and providing fundamental insight on challenging credit situations.
The ideal candidate will have...