Capital Markets Audit Vacancy



Product Control / Front Office Risk & Control AVP’s

Do you have a Big 4 background and have experience in Product Control or Front office risk for Equities or Rates or Credit Markets?  If you are looking for a move to gain wider experience within a tier 1 Bank or are interested in joining a stable team with learning support and a history of promoting good staff members, apply with a CV for an informal discussion about this AVP role.

Our global banking client are seeking an experienced accountant with any one of the following markets experience:

  • Equities: Cash and Equity Derivatives,
  • Fixed Income: Bonds,  Inflation Swaps, Repos, IRD (FRA’s, Exotic IR’s).
  • FX

You don’t need to be an expert in product pricing or structuring but you must have an excellent understanding of the key risks and controls in a traded function around the some of the above products.

You must have:

  •  Previous experience in the above function
  •  A good understanding of Risk & Controls within the Capital Markets
  •  Excellent Project Management skills
  •  A good knowledge of either Interest Rate, FX or Equity product flows
  •  Excellent stakeholder management skills
  •  Right to work in the UK

Apply to Paul Stanbridge with your CV to be considered for the role.

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