Market Risk Derivatives Modelling

2 weeks ago


Delhi, India The Edge Asia Full time

Our client is one of the leading International banks which provides industry focused services for clients across geographies. We are currently building a team of professionals to join their Market Risk team in Delhi NCR.

**Key responsibilities**:

- Develop and implement methodology for generating concentration risk, stressed exposures and performing stress tests.
- Document the methodologies used to stress market prices.
- Calculate exposures to individual counterparties and aggregate exposures.

**Role requirements**:

- 2-6 years of hands-on experience in Financial services.
- Strong product knowledge in Market traded products like derivatives pricing, equities, Futures & Options.
- Education Qualification: Bachelor’s/Master’s in quantitative field.
- Excellent communications skills - verbal and written.


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