Job Description
Responsibilities
• Perform quantitative risk analyses of the portfolio to identify key risks, concentrations, and compile risk commentaries.
• Monitor markets and geopolitical developments and assess impact on client portfolios.
• Conduct pre-trade analysis on complex OTC derivative and securities financing transactions using internal credit risk modelling and front office pricing systems.
• Liaise with sales, structuring, legal teams, and risk managers to understand structural features and risk mitigants to be incorporated in credit exposure modelling.
• Manage responses to bespoke client requests on the firm's initial margin methodologies.
• Understand and enhance stress methodologies in line with market movements for different underlying across asset classes.
• Conduct deep dives on exotic/structured areas of the portfolio to support the portfolio risk management mandate of the team.
• Involvement in strategic projects aligned with the team's responsibilities
• Drive the development of appropriate analytical tools to enhance the overall efficiency of the team.
What We Look For In Strong Candidates
• Bachelor's degree in a discipline such as Financial Engineering, Mathematics, Physics, Statistics, Engineering, Finance and/or Economics.
• Possess strong analytical, quantitative, and problem-solving skills
• Proficiency in Microsoft Office Suite, especially Excel, PowerPoint, and Word
• Knowledge of programming languages (python, SQL, R etc.) and software packages such as Alteryx, Tableau etc.
• Knowledge of trading products, spanning derivatives on the major asset classes (interest rates, equities, credit, commodities, FX) and repos, including exotic structures on these.
• Highly motivated with a natural passion to learn and an inquisitive personality
• Strong interpersonal skills and an ability to work well in a team environment
• Strong sense of accountability and ownership of tasks
• Interest in client interaction with strong verbal and written communication skills
• Capable of understanding, describing, presenting, and debating complex concepts
• Ability to perform well under pressure in a demanding environment managing multiple tasks at the same time
• Strong attention to detail and an excellent work ethic
• Master's degree, CFA, CQF or FRM designations are a plus.
💡 Quick Summary
Seeking a career-building opportunity? The Counterparty Risk Coverage EMEA | Analyst position is now open for candidates interested in the Bank Jobs sector. This role in Mumbai offers a professional environment and growth potential.
Requirement Snapshot: Candidates should possess basic communication skills, a proactive attitude, and the ability to work in a team. Experience in Bank Jobs is a plus.
