Москва, Центральный административный округ, Пресненский район, Московский международный деловой центр Москва-Сити
Key Responsibilities:
Organizing the process of market risk management for the trading book in accordance with internal requirements
Developing and maintaining internal tools and applications to support market risk management and improve the efficiency of risk monitoring processes
Interacting with the trading desk regarding the risk management and PnL including for the purpose of limit setup and reviews
Develop and document methodologies for market risk measurement, monitoring, and reporting in accordance with internal standards
Organizing procedures for the assessment and monitoring of trading book market risk metrics for derivatives, equity, money market, bond trades
Backtesting of internal risk models
Qualifications and Skills:
Higher education in applied mathematics/physics or computational finance
At least 3 years of experience in market risk management
Strong knowledge of financial products including an understanding of risk representations (Greeks, VaR, ES, DV01 etc)
Strong technical and advances coding skills in Python and SQL are required
Holding FRM or PRM certifications is an advantage
Experience with the specialized front-office platform Systematica Radius is an advantage
Strong communication and interpersonal skills.
Excellent attention to detail and ability to work with complex data sets.
We Offer:
5/2 office (Moscow City based)
Competitive salary (depends on experience and qualification)
Comfortable working environment in the city center with international professional team
Medical and travel insurance, mobile phone allowances, etc.
Opportunity for personal and professional growth
Advantage Solutions
Москва
Не указана
Международная инвестиционная компания / ОАЭ
Москва
Не указана
ASTERUS (ООО ВХД Менеджмент)
Москва
Не указана
BostonGene Technologies
Москва
Не указана
Национальный исследовательский университет Высшая школа экономики
Москва
Не указана