Market Risk Analyst

Manchester, UK

Job description

Join a reputable financial institution that is at the forefront of risk management and analysis. Our company is committed to providing comprehensive solutions to mitigate market risks and ensure the stability of our operations. As a Market Risk Analyst, you’ll have the opportunity to work with a talented team, leverage advanced analytics tools, and contribute to the overall risk management framework. Brief Job Overview: As a Market Risk Analyst, you will be responsible for assessing and monitoring the potential risks and exposures associated with our financial market activities. You will analyze market trends, evaluate trading strategies, and assess the impact of market fluctuations on our portfolios. Your role will involve utilizing advanced risk modeling techniques, conducting stress testing, and providing insights to inform decision-making. Additionally, you will collaborate with cross-functional teams to develop risk management policies and procedures, ensuring compliance with regulatory requirements. Salary Range: £45,000 - £65,000 per annum (depending on experience)

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Salary amount


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Soft skills

Analytical Thinking (0 years)

Attention To Detail (0 years)

Collaboration (0 years)

Communication (0 years)

Problem-Solving (0 years)

Hard Skills

Risk Assessment And Management (3-5 years)

Financial Market Knowledge (3-5 years)

Risk Management Models (3-5 years)

Data Analysis And Modeling (3-5 years)

Regulatory Compliance (3-5 years)