Evaluate and oversee risk factors associated with the company\'s current and new trading strategies across diverse asset classes traded on exchanges, including but not limited to equities, fixed income, indices, currencies, and commodities.
Monitor market risk levels at both portfolio and individual product levels, addressing significant exposures.
Job Requirements:
Possess more than a decade of relevant work experience within the financial risk management field, coupled with a robust quantitative and technical background.
Display a proactive mindset and innovative thinking, capable of thriving in a dynamic, fast-paced work environment.
Background in quantitative disciplines like statistics, financial mathematics, or computer science.
R22104464 EA: 19C9859
eFinancialCareers
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