Market Risk Manager - Credit Flow & Index

Morgan Stanley

London, United Kingdom
Market risk management
Credit flow & index
Traded credit risk
The Market Risk Management Division is responsible for the independent identification, analysis, reporting and escalation of all market risk exposures arising from EMEA business activities

Job Summary

  • The Market Risk Management Division is responsible for the independent identification, analysis, reporting and escalation of all market risk exposures arising from EMEA business activities.
  • The role involves desk-facing engagement with traders, trading management and strategists, and real-time involvement in the approval of large transactions.
  • Morgan Stanley offers a supportive and inclusive environment with opportunities for professional growth and attractive employee benefits.

Matching Summary

The Market Risk Management Division is responsible for the independent identification, analysis, reporting and escalation of all market risk exposures arising from EMEA business activities.

Skills & Requirements

Must-have

  • Market Risk Management
  • Credit Flow & Index
  • Traded Credit Risk
  • Risk Identification and Analysis
  • Deal Analysis
  • Data Analysis

Nice-to-have

  • Strategic Advisor
  • Collaborative Environment
  • Fast-paced Environment
  • Team-oriented Environment
  • Client-focused Values

Key Requirements

  • Degree in quantitative subject, mathematics or statistics
  • Experience in risk management or quantitative field
  • Exposure to credit markets
  • Programming languages (e.g. Python, R)
  • Analytical and problem-solving skills
  • Ability to communicate effectively
  • Attention to detail
  • Organizational skills

Work Rights

Not specified

Tailored Resume

Cover Letter