Lead Equity Derivatives Risk - VP, London

Lead Equity Derivatives Risk - VP, London

Full-Time No working from home possible
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Jefferies, a global investment banking firm, is seeking a Vice President Equity Market Risk Manager in London to oversee the Equity Derivatives portfolios in Europe, aligning with risk policies and the Risk Management Framework. You will monitor VaR, stress tests, P&L explanations, and limit utilisation, partner with Trading, Product Control and Finance, and contribute to risk methodology enhancements.

Strong academic background in a quantitative discipline and 5+ years of relevant experience

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Lead Equity Derivatives Risk - VP, London employer: Jefferies Financial Group

Jefferies Financial Group is an exceptional employer, offering a dynamic work environment in the heart of London where innovation and collaboration thrive. Employees benefit from a hybrid work model that promotes flexibility, alongside ample opportunities for professional growth and development within a supportive team dedicated to advancing quantitative analysis in fixed income markets. Joining Jefferies means being part of a forward-thinking firm that values your expertise and encourages meaningful contributions to the financial landscape.

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Contact Details:

Jefferies Financial Group Recruitment Team