Equity Derivatives Analyst

1 day ago


London, Greater London, United Kingdom Be-IT Ltd Full time
Key Responsibilities
As a Global Market Risk Manager, you will be responsible for monitoring and managing the market risk of multi-asset portfolios in Prime Brokerage, Listed Derivatives, OTC cleared derivatives, and FX Prime Brokerage on both an intraday and overnight risk basis. You will also participate in the client onboarding process, including due diligence calls, sample portfolio analysis, documentation negotiation, and more.

You will work closely with Trading, Sales, Credit, and IT teams to ensure market risks are fully understood, captured and approaches challenged where necessary. You will engage market experts to develop views of market conditions, ensuring deep understanding of inherent risk and be able to explain concisely to internal decision makers and interested external parties, such as regulators, if required.

The salary for this role is estimated to be around £100,000 - £150,000 per annum, depending on experience.

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