We’re looking for a candidate to this position in an exciting company.
You’ll be responsible for Market Risk Monitoring on the portfolio including analytics in market risks, P&L, exposure against market risk limits and identifying the gaps. You will be facing traders with your market risk experience including VaR(Value-at-Risk) and your understanding of FX, Rates and Currency.
Graduate Degree in a quantitative discipline (example Mathematics, Statistics or Physics) or professional qualification
Prior experience and knowledge in commodities or derivatives space
Proficiency in quantitative skills (Excel, VBA and SQL)
Strong Interpersonal skills with senior stakeholders and traders