Posted By
Posted in
Banking & Finance
Job Code
416490
Job opportunity for market risk methodology
looking for people who has exposure towards market risk methdology, credit risk methodology and good knowledge of derivative products .
- Calculating live trade credit risk across all markets (FX, rates, equities, fixed - income, commodities, etc.) and financial products (loans, derivatives)
- Checking for any discrepancy between pre and post trade analysis
- Maintain database of exposure corrections across portfolios on a regular basis
- Communicating with CRM and FO to explain credit risk issues and the need for potential ad-hoc enhancements
- Access requirement and Test any future upgrades to pre execution tools
- Performing ad-hoc analysis
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Posted By
Posted in
Banking & Finance
Job Code
416490