FX Back-Office Risk Manager Full-time Job
2 weeks ago Sales & Marketing Dubai 55 views Reference: 43153Job Details
Qualifications:
- Master degree in Finance, Quantitative Finance or Economics
- Minimum 5 years of experience in market risk management (FX, Commodities, IR)
- Experience in financial modeling and hedging strategies development is a must
- Excellent understanding of the following topics: market risks management, OTC and exchange traded derivatives, international FX and commodity markets, financial reporting and analysis
- Confirmed system and operational knowledge in the end-to-end trade flows and trade life cycles of exchange listed and OTC derivatives from trading to clearing and all post trade activities
- Proficiency in dissemination of risk exposure reports and ability to interface with banks’ and brokers’ relationship managers on derivatives pricing, risk and margin matters
Company Description
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