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Front-Office Credit Risk Manager – Fixed Income

Jefferies

Greater London

On-site

GBP 70,000 - 90,000

Full time

12 days ago

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Job summary

A leading financial institution in London is seeking a Risk Manager to join their Fixed Income Market Risk team. This role involves overseeing Credit Trading portfolios, managing market risks, and advising on risk frameworks. The ideal candidate has a quantitative degree and solid experience in credit analysis or market risk management. Excellent analytical and communication skills are essential for this position, as the role requires daily interactions with the Front Office and senior management.

Qualifications

  • Strong analytical and quantitative skills required for risk analysis.
  • Experience as a credit analyst, credit officer, or market risk manager needed.
  • Understanding of credit products, particularly high-yield and distressed.

Responsibilities

  • Oversee and manage Credit Trading portfolios.
  • Identify and report market risks within risk appetite.
  • Advise on market risk control framework improvements.

Skills

Analytical skills
Quantitative skills
Communication skills

Education

Bachelor's degree in a quantitative or finance-related discipline
Job description
A leading financial institution in London is seeking a Risk Manager to join their Fixed Income Market Risk team. This role involves overseeing Credit Trading portfolios, managing market risks, and advising on risk frameworks. The ideal candidate has a quantitative degree and solid experience in credit analysis or market risk management. Excellent analytical and communication skills are essential for this position, as the role requires daily interactions with the Front Office and senior management.
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