Омега Энерджи

Global Markets Risk Analyst

Не указана
  • Москва
  • От 3 до 6 лет

Key Responsibilities:

  • Organizing the process of market risk management for the trading book in accordance with internal requirements

  • Developing and maintaining internal tools and applications to support market risk management and improve the efficiency of risk monitoring processes

  • Interacting with the trading desk regarding the risk management and PnL including for the purpose of limit setup and reviews

  • Develop and document methodologies for market risk measurement, monitoring, and reporting in accordance with internal standards

  • Organizing procedures for the assessment and monitoring of trading book market risk metrics for derivatives, equity, money market, bond trades

  • Backtesting of internal risk models

Qualifications and Skills:

  • Higher education in applied mathematics/physics or computational finance

  • At least 3 years of experience in market risk management

  • Strong knowledge of financial products including an understanding of risk representations (Greeks, VaR, ES, DV01 etc)

  • Strong technical and advances coding skills in Python and SQL are required

  • Holding FRM or PRM certifications is an advantage

  • Experience with the specialized front-office platform Systematica Radius is an advantage

  • Strong communication and interpersonal skills.

  • Excellent attention to detail and ability to work with complex data sets.

  • Upper-Intermediate+ English

We Offer:

  • 5/2 office (Moscow City based)

  • Competitive salary (depends on experience and qualification)

  • Comfortable working environment in the city center with international professional team

  • Medical and travel insurance, mobile phone allowances, etc.

  • Opportunity for personal and professional growth