Ied - Equity Derivatives Strat - Risk Modelling

Morgan Stanley UK

New York, United States
Base: $175,000 - $250,000 py; bonus/equity: not sp...
Equity derivatives
Risk management
Quantitative analysis
Risk strategists are key participants, together with traders, in the revenue-generating and risk management activities of our Sales & Trading Division

Job Summary

  • Risk strategists are key participants, together with traders, in the revenue-generating and risk management activities of our Sales & Trading Division.
  • Responsibilities include delivering top-tier risk visibility, building cutting edge tools, and conducting analysis of complex trades.
  • Morgan Stanley offers attractive and comprehensive employee benefits and perks, with ample opportunity to move about the business.

Matching Summary

Risk strategists are key participants, together with traders, in the revenue-generating and risk management activities of our Sales & Trading Division.

Salary

Base: $175,000 - $250,000 per year; Bonus/Equity: Not specified; Benefits: Not specified

Skills & Requirements

Must-have

  • Equity Derivatives
  • Risk Management
  • Quantitative Analysis
  • Front Office Programming
  • Stochastic Calculus

Nice-to-have

  • Exotic Models Knowledge
  • Team-Oriented Environment
  • Client-Facing Collaboration

Key Requirements

  • Advanced degree in quantitative subject
  • Strong modelling skills
  • Strong object-oriented programming skills
  • Knowledge of Probability, Numerical Analysis, Stochastic Calculus, Approximation theory, Partial Differential Equations

Work Rights

Not specified

Tailored Resume

Cover Letter