Overview
A leading global financial services firm located in Greater London is seeking a candidate for its Credit Risk Exposure Management team. The role involves conducting client pre-trade risk analysis, monitoring credit exposures, and managing risks for collateralized transactions with Hedge Funds. This position offers unique opportunities for professional growth and is part of an inclusive workplace culture.
Responsibilities
- Conduct client pre-trade risk analysis
- Monitor credit exposures
- Manage risks for collateralized transactions with Hedge Funds
Qualifications
- Expertise in asset classes
- Strong communication skills
- Relevant financial qualifications
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Contact Detail:
Nomura Recruiting Team