Market Risk Manager

Market Risk Manager

Full-Time 43200 - 72000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Manage market risk and deliver valuation advisory services while collaborating with senior stakeholders.
  • Company: Join a dynamic consulting firm focused on quantitative risk management in London.
  • Benefits: Enjoy a competitive salary, bonuses, and opportunities for professional growth.
  • Why this job: Be part of a growing team that values innovation and client relationships in finance.
  • Qualifications: Master's degree and 3+ years in market risk or derivatives required; strong analytical skills essential.
  • Other info: Ideal for those passionate about finance and eager to solve complex problems.

The predicted salary is between 43200 - 72000 £ per year.

Our client is looking for someone to progress their career in a dynamic role, dealing with a variety of valuations and advisory projects in their growing Quant Risk practice.

Responsibilities:

  • Deliver sound valuation and market risk advisory services, liaising regularly with senior stakeholders.
  • Develop valuation models and modelling techniques, including complex derivatives and structured products.
  • Proactively seek to enhance and identify opportunities to increase value add to clients.
  • Build long-lasting relationships, and provide high quality services.

Requirements:

  • Master's in relevant field.
  • 3+ years experience in market risk, derivatives, modelling etc.
  • Deep interest in finance and natural curiosity/analytical mindset.
  • Excellent communication skills building relationships, both written and oral, along with good judgement, with a proven ability as a problem solver.

Sound like you? Click apply or email sam.vale@apollo-solutions.com for more info.

Market Risk Manager employer: Career Wallet

Join a forward-thinking firm in London that prioritises employee development and fosters a collaborative work culture. With competitive salaries, comprehensive benefits, and opportunities for career progression, this role as a Market Risk Manager offers the chance to work on diverse projects while building valuable relationships with senior stakeholders. Embrace a dynamic environment where your analytical skills and passion for finance can truly thrive.
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Contact Detail:

Career Wallet Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Market Risk Manager

✨Tip Number 1

Network with professionals in the finance and risk management sectors. Attend industry events, webinars, or local meetups to connect with people who can provide insights into the role and potentially refer you.

✨Tip Number 2

Stay updated on the latest trends and developments in market risk and quantitative analysis. Follow relevant blogs, podcasts, and publications to demonstrate your knowledge during interviews.

✨Tip Number 3

Prepare for technical interviews by practising common market risk scenarios and valuation model questions. Familiarise yourself with complex derivatives and structured products to showcase your expertise.

✨Tip Number 4

Highlight your communication skills by preparing examples of how you've successfully built relationships with stakeholders in previous roles. This will show your ability to deliver high-quality services and enhance client value.

We think you need these skills to ace Market Risk Manager

Quantitative Analysis
Valuation Modelling
Market Risk Assessment
Derivatives Knowledge
Structured Products Expertise
Stakeholder Management
Analytical Mindset
Problem-Solving Skills
Communication Skills
Relationship Building
Financial Modelling
Attention to Detail
Curiosity in Financial Markets
Project Management

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights your experience in market risk and derivatives. Use specific examples that demonstrate your analytical mindset and problem-solving skills, as these are crucial for the role.

Craft a Compelling Cover Letter: In your cover letter, express your deep interest in finance and how your background aligns with the responsibilities of the Market Risk Manager position. Mention your experience with valuation models and your ability to build relationships with stakeholders.

Showcase Relevant Skills: Emphasise your communication skills in both written and oral forms. Provide examples of how you've successfully liaised with senior stakeholders or contributed to advisory projects in the past.

Proofread Your Application: Before submitting, carefully proofread your application materials. Ensure there are no grammatical errors and that your documents are clear and professional. A polished application reflects your attention to detail.

How to prepare for a job interview at Career Wallet

✨Showcase Your Analytical Skills

As a Market Risk Manager, your analytical mindset is crucial. Be prepared to discuss specific examples of how you've used quantitative analysis in previous roles, particularly in relation to market risk and derivatives.

✨Demonstrate Your Communication Abilities

Since the role involves liaising with senior stakeholders, it's important to highlight your communication skills. Practice explaining complex concepts in simple terms, and be ready to discuss how you've built relationships in past positions.

✨Prepare for Technical Questions

Expect technical questions related to valuation models and market risk advisory services. Brush up on your knowledge of complex derivatives and structured products, and be ready to discuss any relevant modelling techniques you've employed.

✨Express Your Curiosity and Interest in Finance

Your deep interest in finance will set you apart. Be prepared to share what excites you about the industry, any recent trends you've noticed, and how you stay updated on market developments.

Market Risk Manager
Career Wallet
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