An exciting opportunity has arisen for a Risk Analyst to join a prestigious global investment firm, specialising in rates risk strategies. This role offers significant potential for career progression and the opportunity to work in a dynamic and challenging environment. As a Risk Analyst, you will be responsible for: Analyzing and managing risk exposures related to rates strategies. Collaborating with senior team members to develop and implement risk management solutions. Identifying emerging risks and recommending mitigation strategies. Supporting the development and enhancement of risk models and frameworks. Ideal Candidate: Strong background in risk analysis, particularly in rates risk. Experience in financial markets, particularly in investment management or trading environments. Advanced quantitative and analytical skills. Proficient in using risk management software and data analytics tools. Excellent communication and collaboration skills. Requirements: Bachelor's degree in a related field (Finance, Economics, Mathematics, or similar). Relevant experience in rates risk management or quantitative analysis. Strong problem-solving abilities and attention to detail. Ability to work effectively in a fast-paced, high-pressure environment. Benefits: Competitive salary and performance-based bonus. Excellent career progression and professional development opportunities. Access to a dynamic and collaborative work environment. If you are a motivated and results-driven individual with a passion for risk management and financial markets, we want to hear from you