Leading London based brokerage firm has an urgent requirement for a strong Fixed Income Risk Analyst. The successful candidate will be responsible for developing Fixed Income specific Market Risk methodology and Stress Risk Framework, reporting, policy and procedure, exposure management applications and the generation of Management information surrounding exposures relating to this business. You will have a minimum of a Bachelors in Quantitative field, with a Masters preferred. Please contact Rory on 0207 4695600 to discuss.
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