Job Specification
1. At least 2 years of work experience in a financial institution with good product knowledge and good understanding of Risk management tools and techniques
2. Strong analytical skills to identify the scope of issues and ability to provide appropriate solutions
3. Good knowledge of financial products across various asset classes
4. Sound understanding of life cycle of a trade and risk management concepts
5. Ability to work with large volumes of data using spread sheet and Database Query tools (MS Excel and Access)
6. Knowledge of regulatory risk topics such as RWA, PFE and EPE
7. Experience of working with the output of finance and risk systems
8. Driven and strong personality able to move forward both existing processes as well as the related projects in parallel to each other.
Desired Candidate Skills
1. Graduate or Post-Graduate in Finance/Statistics/Economics/Sciences/Engineering/Mathematics
2. Completed or currently taking the CFA or FRM qualifications
3. Communication skills at all levels including ability to interact successfully with stakeholders outside team
Didn’t find the job appropriate? Report this Job