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Job Description
Job Purpose:
Market Risk Analyst is responsible for :
- the production of P&L and Market Risk indicators related to Capital Markets activities ;
- the consistency of periodical reporting (internal and external) ;
Money Market, Interest Rate Derivatives, Debt / Credit Markets and Foreign Exchange are the main Product Lines involved.
Responsibilities:
Production, analysis and reporting of the P&L figures
Production, monitoring and reporting of Market Risk indicators and their associated limits
Market Data production and validation for valuation (based on real-time sources: Reuters / Bloomberg)
Develop, design, and implement FX and IR derivative models, with a primary focus on options, swaps, forwards/futures (vanilla and exotic)
Work closely with multiple traders and provide support
Validation of the P&L with sensitivities
Backesting of the VaR
Support any department in term of market risk purpose if needed
Detection of off-market rate transactions if any
Measure of Hedge effectiveness
Identify any breach of limit and take action (reporting)
Skills
Mathematical and financial knowledge
Technical knowledge of derivatives and structured products, the methods for their valuation and monitoring, and the risks created
Strong proficiency with Excel & VBA
Excellent analysis & problem solving
Knowledge of Kondor+ (FO System) and Global View (Risk system)
Financial Systems: Reuters / Bloomberg
Discipline, autonomy and respect of deadlines
Ability to work productively in stressed environment
Ability to produce clear documentation and procedure
Fluent in English
Education
Masters in Mathematics & Finance or Equivalent
Job Details
Preferred Candidate