A leading global asset manager is currently recruiting for a Senior Risk Analyst to join their Financial Risk team and directly support a Senior Risk Manager who joined the firm in 2022. You will be responsible for risk reporting to support Financial Risk governance committees, monitoring risk limits and thresholds, and building relationships with various internal teams.
The team in question are Liquidity Risk SMEs within the business, so are looking for a candidate who has Liquidity and Market Risk experience, gained in a buy-side environment. Working knowledge of Python, R and VBA are also desired.
If you are looking for a fresh challenge and eager to work for a dynamic and progressive business, please share your CV for consideration.
Please note, Asset Management / Investment Management experience is essential and non-negotiable.