About this role
Risk Manager: Marex Solutions (VN2946) at Marex. Location: London, England, United Kingdom. Role: monitoring exposures, evaluating structures, reporting risks Requirements: Degree in finance/mathematics/engineering or related; significant market risk or trading/structuring experience with structured/exotic derivatives; strong derivative pricing and stress-testing knowledge; programming skills (Python, VBA, SQL, PowerBI); Sophis/Bloomberg familiarity; strong communication. Category: Finance and Accounting Seniority: Senior Level Tools: Sophis, Bloomberg, Python, VBA, SQL, PowerBI, Microsoft Excel Certifications: cfa, frm Commitment: Full Time Workplace: Onsite Languages: English