Exit Opps for Risk Manager
Hello guys,
I would like to ask for your help if you could shed some lights exit opps of market risk manager of equity derivatives (the products are quite simple: delta 1, equity finance, indexation) at big bank in Europe? The role basically is to analyze the trading position, set the trading limits, approval of new deals that FO wants to trade etc..
Previously I had several years of experience in fixed income, and in quite complex exotic products, however, not on risk/FO side but trade support side.
My ultimate goal is either to work in structuring or in portfolio manager position ( CFA is done).
Any insights is very much appreciated. Thank you for your help!
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