Analyst – Rmg Collateral Optimization

Barclays

Mumbai, India
Python, sql, microsoft excel
Financial markets, risk, margin concepts
Derivatives knowledge (irs, fx swaps, equity trs)
Leverage technology & risk expertise to aid Management in effectively understanding and managing the Risk & Collateral nuances of Global Markets

Job Summary

  • Leverage technology & risk expertise to aid Management in effectively understanding and managing the Risk & Collateral nuances of Global Markets.
  • Provide immediate and efficient technical support to traders and sales professionals, resolving hardware, software, and network-related issues.
  • Collaborate closely with other functions/business divisions, lead collaborative assignments, and consult on complex issues.

Matching Summary

Leverage technology & risk expertise to aid Management in effectively understanding and managing the Risk & Collateral nuances of Global Markets.

Skills & Requirements

Must-have

  • Python, SQL, Microsoft Excel
  • Financial Markets, Risk, Margin concepts
  • Derivatives knowledge (IRS, FX swaps, Equity TRS)
  • Gitlab, CI/CD, Kubernetes, Docker
  • Stakeholder Management and Leadership
  • Regulatory Framework understanding

Nice-to-have

  • Cutting edge technology development
  • Counterparty or Market Risk experience
  • Prime services familiarity
  • CFA or FRM progress

Key Requirements

  • Graduate or MBA from top tier Engineering/Business school
  • Basic understanding of Financial Markets, Risk, Margin
  • Strong technical skills across Python, SQL, Microsoft Excel
  • Strong understanding of coding tools /concepts like Gitlab, CI/CD, Kubernetes, Docker etc.
  • Knowledge of derivatives like IRS, FX swaps, Equity TRS etc.
  • Stakeholder Management and Leadership
  • Understanding of the Regulatory Framework

Work Rights

Not specified

Tailored Resume

Cover Letter