Requirements |
- At least 2 years of experience in Financial Markets, implementing and supporting specialised Front-to-Back-to-Risk IT platforms such as Murex, Calypso or Finastra.
- Sound Global Markets knowledge: Cross Asset Products: Derivatives (IRD, FXD, EQD, CRD), Money Markets, FX, Fixed Income, Commodities.
- Front Office: Pre-trade, validation and pricing of trades…
- Market Risk (i..e FRTB, ZARONIA, VaR, Initial Margin, CVA...)
- Back Office: Management of post-trade activities
- Able to integrate easily into multidisciplinary teams.
- Reporting and Integration with strong computer or programming skills: Python, SQL…
- Obtained a First Degree in Finance, Economics, Mathematics, Computer Science, Actuarial Science or Engineering.
- Postgraduate studies and/or specialized courses are an asset.
- Solid academic record.
- Get up and go attitude, maturity, responsibility and strong work ethic.
- Strong ability to learn quickly.
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