The Offer
- Work in a company with a solid track record of performance
- Leadership Role
- A role that offers a breadth of learning opportunities
The Job
You will be responsible for :
Monitoring and analysing the market risk exposure and ensuring it stays within established parameters.Performing daily analysis on evolution of VaR and other key risk metrics.Performing market risk stress testing.Providing daily risk, monthly and other periodic reports and highlighting key risk factors.Partnering with key stakeholders in the business to identify, assess and mitigate operational risks.Evaluating the effectiveness of internal controls and suggesting improvements.Analysing risk incidents and performing Root Cause Analysis to identify risks and suggesting controls to mitigate these.Supporting the implementation of operational risk policies, practices and solutions.Ensuring risks, controls and procedures are documented appropriately.Liaising with Internal / External Auditors regarding internal control frameworks as required.The Profile
You have at least 3 years experience including solid experience in a similar role within Financial Services and Internet.You possess excellent communication and business partnering skills and can collaborate effectively with multiple stakeholders.You have working knowledge of forexYou pay strong attention to detail and deliver work that is of a high standardYou possess strong analytical skills and are comfortable dealing with numerical dataYou are highly goal driven and work well in fast paced environmentsThe Employer
Our client is a progressive and flourishing prop trading firm, and trading education provider. Our client is based in London, and at the moment have a team of highly trained properly trading professionals, managing the company’s extensive funds on our City of London based trading floor.