Monitor cash and derivative trading activities and ensuring that transactions are executed in line with market conditions.
Knowledge of the nature and risks of the products/ portfolios/ transactions, key valuation drivers and establish a valuation risk monitoring framework and produce relevant MI reports for the review and assessment of trades
Price verification to ensure that the financial instruments are fair valued; test credit exposure models in traded markets, and we advise on better practice methods in measuring exposure at default on traded risk positions.
Solid knowledge in financial markets products (Credit, Rates, FX, Equities, and Derivatives); Trading strategies, market dynamics and regulatory environment knowledge with strong analytical, problem-solving skills and sound judgment is essential to succeed in this role
Independent price verification to ensure that the financial instruments are fair valued and Assess portfolio risk models such as value-at-risk calculations.
What we require:
6+ years of relevant working experience in similar functions preferred.
University degree from Finance / Quantitative discipline
Advanced skills in Excel, VBA, SQL, RPA, Python are essential and experience with a functional programming language would be an advantage.
In-depth understanding of financial and structured products.
Well organized and able to work independently with effective interpersonal, ability to influence and communication skills.
Persuasive, persistent with high stress tolerance to manage stringent and moving deadlines.
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