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Market Risk
3 weeks ago
**Years of Experience : 4 - 7** Years**
**Joining Time frame **:immediate to 45 Days**
**Positions: Multiple**
**Mandatory skills**:
- Advanced degree in a quantitative discipline (preferably Mathematics/Applied Math, Engineering, Quant Finance or Physics)
- General knowledge of stochastic calculus, derivatives pricing theory across one or more asset classes (IR/FX/Credit/Equity), traded products and market/credit risk
- Minimum 1-3 years of Financial Services experience performing one of the following: model validation, model development, risk management or related fields
- Strong oral communication and technical writing skills Preferred
- Understanding of SR 11-7 guidance on model risk management
- Familiarity with vendor pricing platforms such as MUREX, NUMERIX, Bloomberg etc
- Strong programming and database skills, including
- Programming in MATLAB/Python or C++
- Ability to understand and debug the existing model code in the above programming languages and to develop benchmark models
- Understanding of database technology with respect to MS-SQL database, and proficiency with writing queries and stored procedures
- Understanding of statistical analysis
**Job Type : Full Time**
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