Senior Fixed Income Risk Specialist

4 weeks ago


London Area, United Kingdom The FISER Group Full time

We are seeking a seasoned Fixed Income Risk Manager to join our team at The FISER Group.

Key Responsibilities:

  • Conduct in-depth risk analysis of fixed income portfolios, focusing on rates, swaps, options, and bonds.
  • Collaborate closely with Investment and Product Divisions to develop new product initiatives.
  • Develop and enhance risk models, providing high-quality analytics and results.
  • Provide expert analysis of fixed income products to inform investment decisions.

Requirements:

  • University degree in Mathematics, Statistics, Quantitative Finance, Physics, or Engineering.
  • Proven expertise in analytical models, metrics, and relevant software.
  • Exceptional knowledge of fixed income markets, including rates, swaps, options, and bonds.
  • Excellent communication and stakeholder engagement skills.
  • Proactive mindset with a focus on process improvements.


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