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The Senior Risk Analyst is a specialist role with a quantitative and analytical focus responsible for risk management of client risk exposures across exchange traded futures & options, equity & forex OTC clearing and prime brokerage. Institute, develop and expand Marex's quantitative risk framework to effectively manage the broker dealer risk arising from participation in Repo markets. Lead the development of quantitative tools and methods to improve cross-product risk identification, assessment, monitoring, reporting and control. Help manage clearing/execution client risk exposures, mitigate risk, and protect the firm's risk capital.