Trading Risk Management/ Credit (Munich) (CMR/ 27839) Job in München, Bayern Germany

Ihr Profil

- Sound understanding of a wide range of traded products (in particular credit products) their valuation and their market standards.
- Familiarity with credit correlation products.
- General understanding of Back Office processes.
- Basic understanding of the regulatory framework.
- Experience in the use of internal models for market price risk.
- Excellent systems skills (Front Office Systems, MS Access, Excel, Bloomberg, Reuters)
- Familiarity with SQL and VB, as well as with internet based information sources provided by rating agencies, major investment banks, regulators.
- Vigorous controller with ability to compromise.
- Good communicator and team player.
- Good degree in a numerical discipline, at least to MSc level.

- Minimum of 5 years experience with traded financial products.
- Minimum of 1 year hands-on experience with credit correlation products.
- Minimum of 5 years experience with Front Office Systems.
- Ex-trader a distinct advantage, ideally as a desk head.

- Experience in the analysis of processes.
- Experience with project management.
- Fluency in English is mandatory.
- Fluency in German would be an advantage.