Bangalore Market Risk Analyst
This position is part of the Market Risk Reporting function, within Group Risk Management. The candidate should be a self starter and a quick learner with a keen interest in financial markets, quantitative tasks, models and report design, with proven ability to work independently, find solutions to challenges while paying attention to detail.
2 4 years of experience in capital markets, preferably in financial risk management or asset management
Solid understanding of Fixed Income and Equity markets, hedging strategies using derivatives, VaR and stress testing.
Solid Excel, SQL skills and ability to design high quality risk reports MDX skills would be an advantage
Strong analytical skills.
Good communication and presentation skills.