Derivatives Risk Associate

360 views since posting on Wednesday, May 7, 2008
Type: Full Time
Perform analysis on professional trader portfolios (stocks, futures, options, etc) to determine specific market risk exposures.
Perform theoretical analysis on the probability of various market movements and determine how those scenarios affect client portfolios.
Problem solving and analyzing new risk situations as they arise, individually and as part of the risk team.
Work closely with other analysts and clients to effectively communicate a concise and complete analysis.
Compute and compile daily risk analysis reports for use in communicating firm-wide exposures to senior management.
Use database or spreadsheet techniques to data-mine when needed.

Job Requirements:
BA/BS required, preferred major in Finance, Economics or Math.
Course work in Computer languages (SQL, NET, C++, JAVA).
Applied knowledge of quantitative mathematics with Financial Markets knowledge

For details, please find job posting:
www.investmentbankcareer.com/iba....php

Posted by Anonymous

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