от компании (организации): Брокеркредитсервис в городе (населённом пункте): Москва, Россия
в отрасли экономики "Банки, инвестиции, лизинг" → "Акции, ценные бумаги"
с заработной платой: по договоренности
Вакансия № 12271788 добавлена в базу данных сайта Работа в Москве и Московской области (МО, Подмосковье): Пятница, 9 августа 2024 года.
Дата обновления вакансии № 12271788 на сайте Работа в Москве и Московской области (МО, Подмосковье): Вторник, 24 сентября 2024 года.
Обращаем Ваше внимание, что на момент обращения к работодателю вакансия № 12271788 может быть уже занята. Администрация сайта Работа в Москве и Московской области (МО, Подмосковье) приносит извинения за доставленные неудобства.
Требования к опыту работы:
3–6 лет
Тип занятости:
полная занятость
График работы:
полный день
Дополнительные сведения о вакансии: Market Risk Manager
About Us
BCS Global Markets is the Global Markets and Investment Banking division of BCS Financial Group. The latter was launched to build an institutional business on its existing strengths in the Russian markets, and since June 2012, offers prime services and global markets business lines to institutional clients in Russia and internationally.
We offer services to institutional clients worldwide through major hubs located in Russia, Cyprus, UK and USA:
Russia, Novosibirsk / Moscow — BCS Financial Group, operational since1998
Cyprus — BCS (Cyprus) Ltd European licensed broker, member of the LSE, operational since 2004
UK, London — BCS Prime Brokerage Ltd (UK), licensed in June 2013
USA, New York — BCS Americas Inc., operational since 2016
Our geographical presence allows us to combine the provision of legal protection for our clients while offering a variety of financial products.
Main tasks and responsibilities:
- Participation in development and maintenance of market risk management framework (eventually - making updates to the current methodology),
- Regular calculation of a number of main market risk metrics
- Setting and controlling trading limits, producing daily risk reports for a number of trading desks,
- Performing risk assessment of new trades and producing market risk presentations for a number of committees,
- Ad hoc calculations of market risks of specific trades and products
- Participation in development of market risk IT solutions
Education:
- A degree in either of mathematics, economics, finance, statistics or a last year student of the listed above
Professional skills and expertise:
- Basic understanding of financial markets role and function
- Basic understanding of risk management function of a financial institution
- Intermediate English as a minimum,
- Strong skills in MS Excel, including VBA,
- Basic programming skills is an advantage,
- Knowledge of basic risk metrics (VaR, ES, PD, etc.) is an advantage
- Knowledge of vanilla and exotic derivatives is an advantage
Soft skills:
- Ability and desire to learn new things fast
- Ability to perform complex tasks with high level of independency
- Ability to work with large complex data sets
Terms:
- competitive compensation
- bonuses by results of work
- total compliance with all legal requirements
- medical insurance
- office location near m. Prospekt Mira
Откликнуться на эту вакансию: Market Risk Manager
Предыдущая вакансия:
Вакансия № 12271786 на должность Помощник юриста от компании АО Элопак в городе (населенном пункте) Москва