Market Risk Derivatives Modelling
2 weeks ago
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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