Job description
Working with an international bank seeking a Market Risk Analyst to join their London team. This is a broad, hands-on role focused on market risk monitoring, reporting and exposure analysis across treasury products. This is a 6 month contract, requiring 5 days in an office and will be paying £250 per day, with an ASAP start.
Key Responsibilities:
- Monitor daily market risk exposures and ensure adherence to approved risk limits.
- Produce accurate market risk reporting for senior management and Head Office.
- Support calculation and analysis of risk metrics including VaR, DV01 and FX exposure.
- Assist in stress testing and qualitative risk assessments across business lines.
- Contribute to improvements in market risk methodologies, systems and reporting processes.
- Support oversight of counterparty credit and country risk.
- Liaise with Head Office on market risk matters and assist with policy implementation.
Key Requirements:
- 1–3 years’ experience in Market Risk or a related function.
- Strong understanding of market risk concepts and reporting.
- Experience with treasury products (FX, Rates, etc.).
- Able to work 5 days a week in a London office and start ASAP.
Please apply below or message Nicole Poole at Danos Consulting to learn more.
Extra information
- Status
- Open
- Education Level
- Secondary School
- Location
- City of London
- Type of Contract
- Full-time jobs
- Published at
- 11-06-2026
- Profession type
- Accountancy
- Full UK/EU driving license preferred
- No
- Car Preferred
- No
- Must be eligible to work in the EU
- No
- Cover Letter Required
- No
- Languages
- English
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