The Analyst will hold a key role including pricing, developing innovative financial products for investors.
Payoff Risk and P&L impact pre-trade and post-trade scenario analysis
Customized back tests and client portfolio analysis
Participate to the pre-trade & post-sales effort, closely working with dedicated institutional sales
Participate to the development of new products/payoffs
Marketing presentations and participation to client meetings
Work in close partnership with control functions such as Legal, Compliance, Market and Credit Risk, Audit, Finance in order to ensure appropriate governance and control infrastructure
Provide cross asset advisory and sales to a wide range of institutional clients within the region
Prepare presentation materials, financial models, internal risk analysis memos, term sheets
Qualifications/Requirements
Must hold a postgraduate degree in Business Management.
Minimum of 2-3 years of experience working within an investment bank structuring or relevant desks
Strong analytical and quantitative skills, familiarity with derivative pricing and common structures
Consistently demonstrates clear and concise written and verbal communication skills
* Understanding of different types of risk and ability to discuss ways of managing these risks.
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