Derivative Analyst
MetLife Investments is a premier insurance asset manager with breadth across various asset sectors and global markets, and strong asset-liability management capabilities. With a $450 + billion combined domestic and international general account portfolio and a multi-billion dollar annual cash flow, Investments is an important contributor to MetLife’s financial performance. The primary objective of Investments is to maximize MetLife’s long-term economic value by investing in assets that support the company’s liabilities and produce a consistent stream of operating earnings.
The Derivatives Analyst will work closely with our derivatives traders to provide market surveillance, pre-trade analysis, trade entry and position reporting.
- Pre-trade analysis and modeling
- Position reporting and ad-hoc risk analysis and project work
- Monitoring risk, positions and PL
- Trade entry into our risk systems
Job Requirements
- Self-starter with interest and ability to learn a variety of Derivative Products
- 0 - 2 years of experience with Derivative products.
- Strong quantitative skills a must
- BA with a concentration in Finance or Economics preferred but not required
- Experience in derivative products is a plus
- Strong knowledge of Microsoft Excel required
- Programming skills a plus (SQL, VBA)
Please note that this position is within the 4 year Investments Analyst Program.
In connection with this open position, MetLife will only consider job applicants who are legally authorized to work in the United States without an employer-sponsored petition for a visa, such as an H-1B visa. It will not file any visa applications in connection with this position.
MetLife is proud to be an equal opportunity/affirmative action employer. We are committed to attracting, retaining and maximizing the performance of a diverse and inclusive workforce.
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