The Market and Valuation Risk Management group ensures complex and structured trades are captured correctly within risk and valuation systems, accurately reflecting legal documentation
Job Summary
The Market and Valuation Risk Management group ensures complex and structured trades are captured correctly within risk and valuation systems, accurately reflecting legal documentation.
Key responsibilities include producing MI reports for trade assessment, performing full document review against models and trade capture systems, and identifying root causes of breaks.
The company offers a competitive salary, attractive retirement benefits, and medical and life insurance upon employment.
Matching Summary
The Market and Valuation Risk Management group ensures complex and structured trades are captured correctly within risk and valuation systems, accurately reflecting legal documentation.
Skills & Requirements
Must-have
Market Conformity Control
Exotic Derivative Trades
Valuation Risk Methodologies
Financial Markets Products
Mathematical Risk Models
Nice-to-have
Process Improvement Initiatives
Multi-cultural Team Collaboration
Dynamic Fast-Paced Environment
Continuous Learning Culture
Key Requirements
Bachelor's Degree in Math, Statistics, Accountancy, Financial Engineering, or Finance