Job description
What role you will play in team: You will support the Market Risk team in monitoring and managing market risk exposures.
What you will do: You'll develop and maintain market risk models, monitor risk indicators, and prepare reports.
Key responsibility:Developing and maintaining market risk models.
Monitoring market risk exposures and key risk indicators (KRIs).
Preparing market risk reports for senior management.
Staying up-to-date on market risk trends and best practices.
Collaborating with trading desks and other risk management teams.
Supporting stress testing and scenario analysis.
Required Qualification and Skills:Bachelor's degree in a quantitative field (e.g., Mathematics, Statistics, Finance).3-5 years of experience in market risk management.
Strong understanding of market risk principles.
Proficiency in market risk software (e.g., RiskMetrics).
Excellent analytical and problem-solving skills.
Benefits Included:Competitive salary and benefits.
Opportunities for career advancement.
Challenging and rewarding work environment.
Global career opportunities.
Professional development and training.A Day in the Life: Your day will involve model maintenance, risk monitoring, and report generation. .