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Permanent

Market Risk Manager

London
money-bag Negotiable
D08B7B22AE6CCD7B0F45FA135D800DF1
Posted Yesterday

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We''re Hiring: Market Risk – Fixed Income Credit (FIC) | Associate/VP | LondonWe''re working with a

leading global financial institution

to find a

high-impact Market Risk professional

to join their London-based team. This is a unique opportunity to take ownership of market risk oversight across a

dynamic and complex Fixed Income Credit trading business , including

corporate bonds, CDS, indices, and structured credit instruments .If you have strong FIC knowledge, solid technical risk expertise, and are looking to step into a role with high visibility across the front office and senior risk leadership — we want to hear from you.?

What You’ll Be DoingAs part of the

Second Line of Defence , you''ll play a central role in monitoring and challenging risk-taking across FIC desks. You’ll:Oversee

daily market risk

on trading positions (cash credit, CDS, credit indices, and derivatives)Analyse and explain

VaR/SVaR , risk sensitivities, and stress scenariosDeliver meaningful

PandL explain

and help drive effective backtestingContribute to

new product assessments

and risk approvalsCollaborate closely with

Front Office, Finance, Regulatory Reporting , and other key stakeholdersEngage in

risk governance

forums and support regulatory deliverablesMonitor macro and market events impacting credit markets in the

UK, US, and EMKey differential factors for this client1) Close proximity to Trading. Sitting on the same floor as Traders with a strong relationship fostered with the front office.2) Leading global Head of Market Risk to mentor and develop you.3) Fantastic team?

What We’re Looking ForWe''re seeking an experienced and confident risk practitioner who can provide real-time risk insight, engage in challenge, and help refine the firm’s FIC risk management approach.?

5+ years'' experience

in Fixed Income Credit across Market Risk, Product Control, or Trading? Strong understanding of

credit products : cash bonds, CDS, indices, structured credit? Hands-on expertise in

VaR, stress testing, capital risk metrics

(e.g., ECap, FRTB)? Able to build effective relationships and influence at

senior stakeholder level? Analytical, detail-oriented, and intellectually curious?

Your BackgroundCandidates must have demonstrable product knowledge in fixed income instruments.Professional certifications (CFA, FRM) are advantageousCoding in Python or similar is advantageous?

Ready to Take the Next Step?Apply now or message us directly for a confidential discussion.

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