Company: Leading Investment Bank
Location: Mumbai
Education: Bachelors- or Master's degree in quantitative or relevant discipline preferred
Exp: 4-5 years
Job Responsibility:
- Calculating live trade credit risk across all markets and financial products
- Checking for any discrepancy between pre and post trade analysis
- Maintain database of exposure corrections across portfolios on a regular basis
- Access requirement and Test any future upgrades to pre execution tools.
- Performing ad-hoc analysis
Required Skill Sets:
- Strong technical skills, thorough knowledge of credit risk and derivative products with relevant banking/financial products experience
- Knowledge of database and mainstream programs (Access/Excel) and some programming skills (VBA, C++, etc.) is an advantage
- Ability to work well under stress and tight timelines with a minimum amount of supervision
- Strong communication skills with the ability to express complex financial instruments in simple terms.
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