Excellent opportunity to join a growing business with significant momentum in the market place. Working as a Risk Manager in either their First or Second Line Risk Team. The risk team are building a new structure and set up, covering new products and responsibility.
The Second line play a very important role in challenging the methodology, working with the CRO and having a high level view of the organisation. Validating the models and owning the risk controls.
A great chance to be part of a new set up, embracing change and looking to gain growth within the market. Hybrid working is on offer, the main Italian Cities can be considered for working here and a chance to gain performance bonuses on top of salary and other benefits.
Skills Required:
Open to Python, SQL, VBA, C++ and Matlab / Java
Master level education - Financial Engineering, Quantitative Risk Management, Financial Risk Management, Finance and other numerate or Financial Market related subjects. Also FRM and CQF qualifications will be greatly of interest.
Knowledge of at least one: Equity, Commodities, Fixed Income, Repo and Derivatives will be of use, ideally all of them.
Good knowledge of Financial Markets
Looking at either 2 - 4 years of experience or 5 - 10 years.
English speaking and writing skills, able to communicate globally
Please do get in touch to discuss further if you feel you have the rights skills for the role and would like to hear more or apply.
Must have right to work in the EU, no sponsorship is on offer for these roles.