Job Views:  
740
Applications:  146
Recruiter Actions:  43

Job Code

790712

Technical:

1. Financial mathematics, Derivatives understanding

2. Basic understanding of greeks - first / second derivatives (In depth understanding for SME)

3. Be critical on existing processes and learn to be proactive

4. Should have basic knowledge on valuations of products such as Bonds, Equities, Fx, IRS, Exotic, Hybrids, Structured, CTY, credit risk products

Functional:

1. Risk and Income Attribution - Along with PnL , income attribution (break up of PnL in terms of risk) is being prepared using income attribution tool

2. Perform controls such as off market price controls or treasury breaches control

3. Provide commentaries for PnL swing. Interact with internal clients like FO, onshore team, reconciliation, oper : trade support, RISQ, VAL and Commando team.

4. In the process of chaining (Market Data, calculations bricks, SI) and impacts on other actors (Accounting Team, RISK, FO)

5. Understanding the risks associated with different products

6. Control aspects: market risk, credit risk.

7. Understanding the P&L of Income Allocation

8. The analyst is responsible for the production of several sensitive metrics:

Adaptability / Agility :

1. Serve as back up to other members of the group

2. Show flexibility and intellectual responsiveness.

3. Good communication skills

Cooperation and team spirit

1. With our partners: always try to find a solution

2. Within the team share ideas / accomplishments, to show solidarity, active participation in the life of the team (including teams points).

Education: MBA/CA/CFA

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Job Views:  
740
Applications:  146
Recruiter Actions:  43

Job Code

790712

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