Market Risk Manager - Credit Flow & Index

Morgan Stanley

London, United Kingdom
Risk management experience
Data analysis skills
Programming languages proficiency
The role focuses on risk managing index, tranche, and index option market making

Job Summary

  • The role focuses on risk managing index, tranche, and index option market making.
  • Candidates will engage with traders and senior risk managers to escalate identified risks.
  • Morgan Stanley offers a supportive and inclusive environment for career growth.

Matching Summary

The role focuses on risk managing index, tranche, and index option market making.

Skills & Requirements

Must-have

  • risk management experience
  • data analysis skills
  • programming languages proficiency

Nice-to-have

  • strong attention to detail
  • ability to work independently
  • collaborative team-oriented environment

Key Requirements

  • degree in quantitative subject
  • experience in credit markets preferred
  • analytical and problem-solving skills

Work Rights

Not specified

Tailored Resume

Cover Letter