Overview
Role focused on managing market risk and analyzing trading patterns in a financial environment.
Ideal candidate has 2+ years of experience in financial markets with strong analytical skills and proficiency in Python, SQL, and VBA.
hybridmidfull-timeEnglishPythonSQLVBA
Locations
United Kingdom, England, London
Requirements
At least 2 years experience in financial markets Experience in data analysis within a financial environment Strong proficiency with Python, SQL, and VBA
Responsibilities
Manage market risk exposure Analyze client trading patterns Conduct stress testing and scenario analysis Enhance risk framework models Manage trade and order referrals Ensure adherence to financial regulations
Benefits
Discretionary annual bonus Active Lifestyle allowance Annual leave above minimum entitlement Up to 3 weeks allowance to work in any location