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19 August 2008

 

Market risk svp tokyo

Responsibilities:
Work closely with senior traders to understand trading strategies, and enforce trading limits. Perform in-depth risk analyses on complex derivative transactions. Enhance risk measurements. Collaborate with other senior staff in Credit, Finance and Operations to perform integrated risk management functions. Liaison with internal and external audit and regulators in discussions on polices and procedures.
Successful candidate must be a team player with good interpersonal skill. Must have 10 + years working experience in interest rate derivatives and exotics. Strong analytical background combined with broad market and product knowledge is required. Prior experience in trading, structuring and quantitative research is highly desirable.
Required Skills:
Strong numerical qualification in a quantitative subject such as physics, mathematics, finance, economics, statistics, engineering or the equivalent. MBA or other relevant advanced qualifications is preferred.
For candidates who are willing to take up the challenge, please attach your English resume. All candidates with relevant experience will be contacted immediately.

Phone: 0207 759 9463



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