Senior Front Office Risk Manager, Hedge Fund, LDN
London, United Kingdom
Confidential
areas such as trade sizing and portfolio correlation, will be relevant. They are looking for a candidate with a strong understanding of linear interest rate derivatives trading and the team have a significant RV focus, so candidates with applied experience of strategies such as bond basis … and the firm demonstrate a collegiate environment to work within. Requirements 5 years plus experience working as a Risk Manager focusing on linear interest rate products Fixed Income RV experience a significant plus Excellent academic pedigree Experience working in a top tier bank or hedge fund more »
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