Global Banking & Markets - FICC Credit Strats - EMEA - Analyst

2 - 6 years

20 - 25 Lacs

Posted:1 week ago| Platform: Naukri logo

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Work Mode

Work from Office

Job Type

Full Time

Job Description

You will also partner with global trading/controllers/credit risk teams for uplifting pricing engines to optimize capital footprint in light of recent/upcoming industry regulations. In addition, you will assist senior management, business in enhancing end-to-end risk monitoring & risk management framework by developing new analytics & uplifting existing pricing models for the desk.

Responsibilities

  • Building and improving quantitative models, pricing, risk management and workflow infrastructure for the FICC Credit Exotics trading business
  • Systematic and quantitative analysis of risk, pricing, PNL metrics for credit exotics products ranging from bonds to vanilla and exotic derivatives(CLNs, Repacks etc.)
  • Helping trading desk with daily trading activities, risk management, analyze trade ideas and hedging strategies
  • Analysis and model development for cross-business initiatives such as capital optimization and regulatory changes
Candidate will actively collaborate with colleagues not only in Bengaluru but also with the desk strats and trading team globally.

Who We Look For

An ideal candidate would have strong quantitative and technical problem solving skills, drive to investigate and learn new ideas, and good judgement to deliver quick yet robust solutions.

Basic Qualifications

  • Strong academic background in a relevant STEM field (Computer Science, Engineering, Physics or Mathematics)
  • Strong quantitative and programming skills (Java, C++, Python)
  • Strong interpersonal/communication skills
  • Ability to focus both on details and on the big picture
  • Ability to work in a dynamic and fast- paced environment and deliver accurate results quickly
  • Ability to solve problems and to explain underlying ideas

Preferred Qualifications

  • Knowledge and understanding of financial markets, financial modeling, a quantitative understanding of probability and stochastic calculus

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Goldman Sachs

Financial Services

New York

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