Looking for candidates with sound experience on risk with Investment Banking products knowledge
Combination of risk along with reconciliation, model risk, ERM, CRM, MLRM, RFDAR, Data Deliver Governance and Sourcing preferred
Required candidates who are open for the role profile and domain
Good domain knowledge on Investment banking products like derivatives, swaps, bonds, fx, money markets, funds etc
Strong technical skills, thorough knowledge of risk and derivative products with relevant banking/financial products experience
Bachelors or Master's degree in quantitative or relevant discipline preferred
Min of 5 years of experience with good investment banking background
Candidates who are on sabbatical / maternity break and willing to explore the role
Excellent communication with a positive attitude
Ability to work well under stress and tight timelines with a minimum amount of supervision
Initial 4 months of probation followed by an excellent opportunity with a leading IB
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