Senior Market Risk Analyst

3 days ago


London, Greater London, United Kingdom DV Trading Full time

About Us:

Founded 19 years ago and headquartered in Chicago, the DV Group of financial services firms has grown to more than 450 people operating throughout the world. Since spinning out of a large brokerage firm in 2016, DV Trading rapidly scaled as an independent proprietary trading firm utilizing its own capital, trading strategies, and risk management methodologies to provide liquidity and hedging opportunities to financial participants, commodity producers and counterparties worldwide. DV Group affiliates also include two broker dealers, an introducing broker in commodities, a cryptocurrency market making firm, and several investment advisory firms.

 

Overview:

DV Trading is looking for a Senior Market Risk Analyst who will oversee daily risk monitoring, reporting, and market analysis of our trading portfolios. In addition, they will help build and support more robust automation around our risk processes, reporting, and frameworks.

Responsibilities:

  • Liaison between the clearing firms and traders on notices sent from the clearing firms, including margin calls, option assignments, buy-in notices, and expiration notices.
  • Monitor the firm's trading activities and identify potential scenarios and positions that pose threats to the firm and individual trading groups.
  • Develop risk models for the firm's desks to enhance our risk framework.
  • Conduct stress tests and scenario analysis on the firm's positions, with a focus on ETF and international equities trading.
  • Review the firm's and individual trading group's daily margin requirements and resolve any issues related to the exchange requirements.
  • Maintain and monitor the firm's proprietary risk models.
  • Generate firm overview reports such as VAR, stress testing, intraday PnL, and various trading strategies, and flag any issues that are standing out. 

Requirements:

  • 4-6 years of market risk or equities trading experience, specifically with a focus on commodity risk or international ETF trading.
  • Knowledge of ETF creation and redemption trading and strategies.
  • Experience understanding and monitoring exchange margin requirements and calculations.
  • Excellent communication, analytical, and organization skills.
  • Experience with Excel, Python, and/or VBA.
  • Strong interest in the financial markets.
  • Must be able to work both independently and as part of a team - should demonstrate curiosity, initiative, self-sufficiency, and the ability to learn quickly.

Benefits 

  • Highly competitive compensation and bonus structure
  • Meritocratic environment with ample opportunity for growth
  • Blue Cross Blue Shield Medical PPO
  • Health Savings Account, MetLife Dental, MetLife Vision Coverage
  • Flex Spending Account
  • Employer paid life insurance
  • Optional Long-term Disability, and AD&D Insurance
  • Pre-Tax Parking and Transit
  • Casual work environment


DV is not accepting unsolicited resumes from search firms. Only search firms with valid, written agreements with DV should submit resumes in response to DV's posted positions. All resumes submitted by search firms to DV via e-mail, the Internet, personal delivery, facsimile, or any other method without a valid written agreement shall be deemed the sole property of DV, and no fee will be paid in the event the candidate is hired by DV. DV is proud to be an equal opportunity employer and committed to creating an inclusive environment for all employees.


  • Market Risk Analyst

    4 days ago


    London, Greater London, United Kingdom Chevron Full time

    Chevron is accepting online applications for the positionRisk Control Analyst / Senior Risk Control AnalystthroughJanuary 12th, 2026,at 11:59 p.m. (GMT).Chevron Corporation OverviewChevron is one of the world's leading integrated energy companies and conducts business worldwide. Our success is driven by our people and their commitment to get results the...


  • London, Greater London, United Kingdom Robert Walters Full time

    I am working with a leading international energy group , seeking an experienced Senior Market Risk Analyst to join its expanding LNG trading team in London. This is a great opportunity to play a central role in a high-growth environment, supporting one of Europe's most active and innovative LNG trading desks.I am working with a leading international energy...


  • London, Greater London, United Kingdom Robert Walters Full time £60,000 - £100,000 per year

    We are working with global energy trading desk in London , seeking a Market Risk Analyst to join a high-performing risk and analytics team. You'll work on a mix of market risk and technology-driven projects including stress testing, dashboard and model building, automation, and daily risk reporting/P&L.**Senior Market Risk Analyst – Quantitative &...


  • London, Greater London, United Kingdom DV Trading Full time

    About Us:Founded 19 years ago and headquartered in Chicago, the DV Group of financial services firms has grown to more than 450 people operating throughout the world. Since spinning out of a large brokerage firm in 2016, DV Trading rapidly scaled as an independent proprietary trading firm utilizing its own capital, trading strategies, and risk management...


  • London, Greater London, United Kingdom Jefferies LLC Full time

    The role is for a Risk Manager to join the London Fixed Income Market Risk team. The team sits on the trading floor and interacts with the Front Office daily. The position focuses on the European Credit Trading business, which spans several desks, from IG credit to high-yield and distressed.The day-to-day responsibilities include defining risk appetite and...


  • London, Greater London, United Kingdom Jefferies Financial Group Full time

    DescriptionThe role is for a Risk Manager to join the London Fixed Income Market Risk team. The team sits on the trading floor and interacts with the Front Office daily. The position focuses on the European Credit Trading business, which spans several desks, from IG credit to high-yield and distressed.The day-to-day responsibilities include defining risk...

  • Market Risk Solutions

    2 weeks ago


    London, Greater London, United Kingdom Validus Risk Management Full time £60,000 - £120,000 per year

    The Validus Market Risk Solutions team works with clients to manage event-driven FX and interest rate risk. Our clients include many of the largest and most prestigious institutional investors across private equity, credit and real asset markets.About the Market Risk Solutions Team at Validus:Based in London, the Market Risk Solutions team provides...


  • London, Greater London, United Kingdom Jefferies Full time

    Job DescriptionThe role is for a Risk Manager to join the London Fixed Income Market Risk team. The team sits on the trading floor and interacts with the Front Office daily. The position focuses on the European Credit Trading business, which spans several desks, from IG credit to high-yield and distressed.The day-to-day responsibilities include defining risk...


  • London, Greater London, United Kingdom LevelUP HCS Full time

    Risk Manager – European Credit Trading (IG, HY & Distressed) – LondonLevelUp is recruiting on behalf of our client, a major full-service global investment bank and capital markets firm, for a senior market risk professional to join the London Fixed Income Market Risk team. The team sits directly on the trading floor and works in daily partnership with...

  • Risk Analyst

    2 weeks ago


    London, Greater London, United Kingdom iFAST Global Bank Limited Full time

    The role will provide an opportunity for the Risk Analyst to gain an insight into prudential risk management in dynamic environment and be part of the journey in developing the function as the Bank grows.The prudential risk team consist of Senior Manager, Risk Management and Credit Risk Analyst. The team is responsible on all prudential risk management...