Prestigious asset manager offers this attractive fixed term contract (approx. 5-6 months) within investment risk.
Working closely with senior management the successful candidate will be responsible for working on market risk, liquidity risk, new fund launches and ad hoc MI and analysis. The role will mainly focus on the Fixed Income business but is likely to also involve equity and multi asset areas as well.
Applicants will demonstrate sound investment risk experience gained from an asset management environment and good knowledge of fixed income instruments. A superior level of academic achievement is essential and must include a relevant professional qualification (FRM or CFA).