As a Market Risk Analyst, I aim to; develop expertise in the valuation of financial instruments (such as bonds, treasury bills, commercial papers, etc.); ensure all limits are within the threshold set by fund sponsors; ensure that investment risks affecting funds under management and Company portfolio are identified, assessed, monitored, controlled and reported so as to ensure that no surprises outside of our control are experienced either from Auditors, Regulator, Counterparties or Customers.
QualificationsFirst Degree in either Statistics, Mathematics, Engineering, Accountancy or Economics will be preferred. Either a Certified Financial Risk Manager or FRM Part 1 or Part 2 orÂ CFA Charter holder or CFA Level I or Level II or Level III Candidate4Â will be an advantage Minimum of Second Class Upper at First Degree Level is preferred.
Behavioural CompetenciesDeveloping Practical Approaches Developing Expertise Interpreting Data Embracing Change Meeting Timescales
Technical CompetenciesData Management Workspace Management Human Capital Systems Records and Archive Management
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