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1586 jobs found for Fixed Income Market Risk

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  • to new tools and systems Requirements - MBA or Graduate with 1-2 years relevant work experience - Having a CFA designation would be a plus - Self-starter and motivated self-learner – able to take initiative in building working knowledge in Fixed Income portfolios. - Knowledge of fixed income markets

  • The role involves efficient governance and structure planning along with customer management, risk analysis and efficiency. Improving the Drive Process by eliminating Non-Value Added activities and promoting effective resource management. Driving disciplined cost management with a culture of cost Strong Knowledge of Coupons, including Redemption Knowledge Experience in market claims and market ...

  • risk management/trade capture system(s) by addressing discrepancies in the trade booking versus the Front Office execution parameters • Manage and maintain controls over trade life cycle events including novations, unwinds, and amendments• Analyze and comment on daily front-to-back reconciliation

  • This role will be part of the Securities Operations team responsible for processing Settlements, Confirmations & post trade recon etc. Role functions include Settlements, Confirmations & post trade activities for all markets. This ensure Adherence to global standards and procedures: Confirmations, 9-16 years experience in general Investment banking environment with focus on Settlements Ops A good ...

  • trillion of assets under custody and $393 billion in deposits, the Corporate & Investment Bank provides strategic advice, raises capital, manages risk and extends liquidity in markets around the world. The CIB CAO team provides oversight and support for JPMC’s Corporate & Investment Banking CAO Group ...

  • calendars et al Requirements: - B-Tech (from IITs/NITs)/ CA(ranked or first attempt with high scores) / MBA (Tier 1 / high Tier 2 colleges) / CFA (all levels in first attempt) 2-5 years of experience in Fixed income markets A good understanding of bond markets, commensurate with the experience; Good

  • pertaining to the developments in financial markets and be able to effectively communicate the same to clients Preparing and executing presentations to clients as and when required and updating them about market conditions. Mentoring and supervising Junior Dealers on Fixed Income Securities business

  • pertaining to the developments in financial markets and be able to effectively communicate the same to clients Preparing and executing presentations to clients as and when required and updating them about market conditions. Mentoring and supervising Junior Dealers on Fixed Income Securities business

  • pertaining to the developments in financial markets and be able to effectively communicate the same to clients Preparing and executing presentations to clients as and when required and updating them about market conditions. Mentoring and supervising Junior Dealers on Fixed Income Securities business

  • pertaining to the developments in financial markets and be able to effectively communicate the same to clients Preparing and executing presentations to clients as and when required and updating them about market conditions. Mentoring and supervising Junior Dealers on Fixed Income Securities business

  • pertaining to the developments in financial markets and be able to effectively communicate the same to clients Preparing and executing presentations to clients as and when required and updating them about market conditions. Mentoring and supervising Junior Dealers on Fixed Income Securities business

  • MBA with 5+ years of relevant work experience in Asset Management or Finance Industry. Understanding of fixed income (or any asset class) and the asset management business is a plus. Strong quantitative and analytical skills (including data analysis and ability to understand data flows) Proficient

  • and asset allocation to alternative asset classes such as private equity, real estate and hedge funds. Roles & Responsibilities: Global Fixed Income Currency and Commodities comprises of Portfolio Management and Client Portfolio Management team which invests into a wide range of Investment products

  • as our global trading strategy develops there will inevitably be more of a cross over with our US and Asia managed funds. The Role Fixed Income & Global Liquidity Middle Office Required Experience Strong understanding of Fixed Income, Equities, Exchange Traded Derivatives / OTC Derivatives

  • as our global trading strategy develops there will inevitably be more of a cross over with our US and Asia managed funds. The Role Fixed Income & Global Liquidity Middle Office Required Experience Strong understanding of Fixed Income, Equities, Exchange Traded Derivatives / OTC Derivatives

  • as our global trading strategy develops there will inevitably be more of a cross over with our US and Asia managed funds. The Role Fixed Income & Global Liquidity Middle Office Required Experience Strong understanding of Fixed Income, Equities, Exchange Traded Derivatives / OTC Derivatives

  • as our global trading strategy develops there will inevitably be more of a cross over with our US and Asia managed funds. The Role Fixed Income & Global Liquidity Middle Office Required Experience Strong understanding of Fixed Income, Equities, Exchange Traded Derivatives / OTC Derivatives

  • orientated and Risk awareness is essential. Understand Operational Risks to reduce Risk Profile. · Ability to influence others for providing the supports and work under pressure independently. · Desire to make an impact. Self Starter, Confident and Proactive

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