A major global investment bank is seeking a senior Risk Manager to join the London Fixed Income Market Risk team. This hands-on role involves overseeing European Credit Trading portfolios and conducting fundamental credit analysis. The ideal candidate has over 10 years of relevant experience, strong quantitative abilities, and comfort in trading-floor environments. Responsibilities include risk management, developing methodologies, and collaborating closely with trading and senior management. This position offers a unique opportunity to play a central role in a rapidly growing credit business. #J-18808-Ljbffr
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LevelUP HCS Recruiting Team