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大手証券会社 リスクマネジメント部門 Market Risk Middle Office,/Associateの求人

求人ID:105073

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転職求人情報

職種

Market Risk Middle Office

ポジション

Associate

おすすめ年齢

20代
30代
40代
50代以上

年収イメージ

年収イメージ:800万円〜1200万円(経験・能力を考慮の上当社規定により決定)

仕事内容

●Monitor daily feed processing to ensure timely VaR production and accurate risk representation across different asset classes.
●Identify, investigate and facilitate the resolution of processing errors, feed errors, data errors in various risk management tools.
●Operate the risk platform, understand the risk outputs and then form an independent risk view in order to effectively perform the “checks-and-balances” function within Market Risk.
●Improve the operational efficiency and risk capture through de-commissioning of legacy systems and other VaR or system enhancement projects. Carry out planning and rigorous testing in the migration process.

必要スキル

●Bachelor degree or above.
●1-year experience in market risk management or control-related functions within a financial institution.
●Basic knowledge of financial products, option Greeks and VaR model. Awareness of the financial market and regulatory regime.
●Good IT (esp. Excel) and communication skills - be comfortable with both people and systems. Attitude and people skills are more important than technical skills in this role, though.
●Fluent English; Japanese language would be a plus, but not essential.
●Other desirable qualities: persistent, positive and level-headed even in tough situations, able to manage timeline and multi-task, meticulous, detail-minded, organized, results-oriented

就業場所

就業形態

正社員

企業名

大手証券会社

企業概要

国内大手証券会社

企業PR

日本をベースとしたグローバル金融機関。インベストメント・バンキング、グローバル・マーケッツ、アセット・マネジメント、リテールビジネス等を行っています。

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