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Traded Market Risk Analyst | S2 | SLB | Triton Square

Job Description

Job Description

As a responsible Investment bank, we're committed to managing our risks. It's an exciting time to be here as we're now seeking a Traded Market Risk Analyst to support the risk reporting for a range of trading desks with cash and derivative products in fixed income, equity and FX markets. You will be responsible for providing second line of defence oversight, review, and challenge of Trading Market risk activities across SLB.

The role involves ensuring risk and regulatory compliance by identifying, quantifying, reviewing, evaluating, and measuring Market Risk to ensure that all risk categories are identified and managed in accordance with approved risk limits and risk appetite. . You'll be part of the Market and Structural Risk team - a dynamic and leading-edge function supporting and adding value to the business

If you're someone who's performed a similar role already, this is the perfect opportunity to develop your career.

The difference you'll make.

  • Producing Traded Market Risk reports and publish them to the Front Office and other Stakeholders

  • Monitoring Market Risk limits and Trading activity

  • Producing and analysing Risk, Capital, Stress Test, Risks not in Model & VaR

  • Working closely with the front office and various support teams daily

  • Meaningful market analysis and commentary on daily Market Risk movement and their relationship

  • Understanding of markets, Interest Rate Derivatives and Market Risk Greeks applicable for Fixed Income, Short Term Markets Trading business

Candidate Description

  • Market risk experience preferably in Interest Rate derivatives

  • Strong data MI experience such as VBA, SQL & Python and MS Excel skills

    It would also be nice for you to have.

  • Excellent communication skills for effective interaction with Clients, front office and operations colleagues

  • Detail oriented, with the ability to appropriately prioritise tasks and issues in a time pressured environment.

  • Degree and/or masters (or equivalent experience) in a mathematical or financial subject

Application Description

London

2022-09-16, If there's anything we can do in the recruitment process to help you achieve your best, get in touch. Whether it's a copy of our application form in another format or additional assistance, we're available through telephone, email, or face to face. You can contact us at resourcing@santander.co.uk or call 0870 414 9080.