Senior Risk Controller – Firm-wide Treasury Risk, Group Treasury recruitment
81940BR Minimum 5 years risk management or related experience in fixed income capital markets or Treasury at a major financial institution University degree in finance or quantitative discipline; CFA or equivalent a plus Experience analyzing multi-currency balance sheets and yield curves Experience in interest rate and foreign exchange derivative valuation, hedging and risk modelling including hedge ratios, Greeks and PL sensitivity analysis Deep understanding of capital markets and cash flow modelling techniques. Knowledge of portfolio quantitative and statistical packages (e.g., QRM, RiskMetrics, Read more […]