Investment Risk Analyst - Fixed Income
- Recruiter
- BCT Resourcing
- Location
- London, London
- Salary
- £400 - £500 per day
- Posted
- 10 Oct 2015
- Closes
- 07 Nov 2015
- Ref
- 1170734
- Sectors
- Accountancy, Banking & Financial Services
- Contract Type
- Contract
- Hours
- Full Time
Investment Risk Analyst - Fixed Income - 6 Months - £450 p/day - London
Our client working with a leading global asset management group that provides solutions for individuals, institutions and corporate clients offering a variety of investment solutions and strategies. They are looking for an Investment Risk Analyst to join their Risk department.
You will be accountable for measuring and managing the risk that is being taken across fixed income funds.
Key Responsibilities
- Risk reporting and analysis on the fixed income funds and then communicate this with senior managers
- Reporting accurate risk measures
-Oversight and daily running of tasks
Essential Skills
- Relevant experience in a similar role
- Good understanding of the financial markets and risk management
- Excellent understanding of Fixed Income, different market risk measure and derivitives.
- Strong communicator with the ability to communicate with stakeholders and different departments.
Desirable
- Knowledge of a financial system such as Riskmetrics, APT, Bloomberg, and/or other software.
This is an excellent opportunity to work with a leading Asset Manager within an excelling team.
If you are actively looking but this role isn't quite right please contact for further roles.
Our client working with a leading global asset management group that provides solutions for individuals, institutions and corporate clients offering a variety of investment solutions and strategies. They are looking for an Investment Risk Analyst to join their Risk department.
You will be accountable for measuring and managing the risk that is being taken across fixed income funds.
Key Responsibilities
- Risk reporting and analysis on the fixed income funds and then communicate this with senior managers
- Reporting accurate risk measures
-Oversight and daily running of tasks
Essential Skills
- Relevant experience in a similar role
- Good understanding of the financial markets and risk management
- Excellent understanding of Fixed Income, different market risk measure and derivitives.
- Strong communicator with the ability to communicate with stakeholders and different departments.
Desirable
- Knowledge of a financial system such as Riskmetrics, APT, Bloomberg, and/or other software.
This is an excellent opportunity to work with a leading Asset Manager within an excelling team.
If you are actively looking but this role isn't quite right please contact for further roles.