Top MNC investment bank hiring for Mumbai.
Job Location: Mumbai
Designation: Analyst / Sr. Analyst
- The role is within the FID/EQUITY, cluster that oversees all the Non Strategic Businesses
- The candidate will have to monitor, understand and analyse the market risk and to support the team.
- Control the risk taking and participate in the definition of a limit framework
- Advise and drive delivery of tools/methodologies like VaR, sensitivity analysis, scenarios.
- The candidate will prepare deep dive risk analysis and/or stressed scenarios and present findings to others within the team, traders and senior managers.
- Liaise with other departments and support/manage project deliveries.
Qualification:
- Degree (e.g. BSc or MSc) in finance/ risk management / quantitative subjects or related discipline.
- Modules on economics / statistics / risk management / financial stochastic calculus is an advantage.
- 1-3 year of experience in the banking industry with for example participation to a graduate program
- Candidates without banking experience but a strong academic background will be considered
- Working knowledge in any asset classes and/or their derivatives will be considered.
- Competent in using Microsoft Office suite (powerpoint, excel, basic vba programing)
- Analytically minded and effective communicator (written/oral).
- Details oriented, curious, keen to drill down risk issues deeply without receiving too much guidance from manager
- Need to deal with traders and quants and must be seen as a trusted and knowledgeable partner by those group
- FRM qualification is a plus
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