Three 3 years of experience with a Masters degree or Five 5 years of experience with a Bachelors degree with working at an Asset management or global investment banking firm; trading, portfolio construction, or risk management of fixed income investment instruments including bonds, interest rate derivatives and repurchase agreements; trading, portfolio construction, or risk management of both listed and OTC derivatives; running data analysis on financial markets and utilizing statistical modelling skills to determine market trends; performing scenario analysis on financial products, including developed market interest rates, to understand exposure and risk; and optimization and automation of processes to evaluate and improve business efficiency and workflows.br br Travel required lt;5 of the time to meet with clients and attend conferences.

Categorias: eb3

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