Qualifications :
- B.E/ B.Tech / MBA (Tier 1/2), 0-2 years experience
- FRM, PRM, CFA preferred
Responsibilities :
- Identify and evaluate business and technology risks, internal controls which mitigate risks, and related opportunities for internal control improvement
- Develops understanding of the U.S. Banking, Capital Markets and the Asset Management industry
- Understanding of financial or commodity instruments (wholesale/retail products, equity, fixed income, derivatives, FX, commodities, etc.) and the related market and reference data (e.g., security master, pricing, counterparty, etc.)
- Understand the Indian Financial Trading Life Cycle and the multiple stages and aspects of a trade for various financial instruments and asset classes
- Demonstrate experience with implementation of a leading risk and capital markets technology solution
- Demonstrate understanding of US regulations in Financial Services and/or Commodities
- Exhibit expert working knowledge of MS Excel and M S PowerPoint.
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