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118 jobs found for Fixed Income Market Risk

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  • This role will comprise the following key responsibilities: - Review and monitor the production of Daily / Monthly Stress Test Reports. - Discuss, escalate and drive resolution of production issues with IT, Analytics and Business teams. - Manage successful handover of change into production, ensuring effective knowledge transfer to the Operations team. - Proactively realize opportunities for improvement in ...

  • continuously with the global product heads & desks Adhere to local standards and procedures, by liaising closely with compliance, operations risk and following local regulatory constraints, especially in the branches Review periodically (daily/weekly/monthly) exception reports thus ensuring that problems

  • 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

  • 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 analytical, written and oral presentation skills Basic knowledge

  • 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 analytical, written and oral presentation skills Basic knowledge

  • with the risk managers in the trading centres on a daily basis to help manage their market exposure, set & review risk strategies - Daily analysis and interpretation of the results of risk sensitivities and stress tests - Preparation of risk reports for traders and senior business management - Monitoring

  • exposure, set & review risk strategies. Major activities involve daily analysis and interpretation of the results of risk sensitivities; validation of VaR, Incremental Risk Change, Economic Capital numbers and sign-off on the relevant Risk systems & preparation of risk reports for traders

  • Looking out for leading investment bank at Chennai female candidates only who is IPV Experts who deal in Fixed Income, Derivatives, Equities, OTC Kind of asset class. Duties and Accountabilities : Candidate will work as part of a team of professionals to meet the group's responsibilities

  • the establishment of exception and monitoring reports and review and investigation of the same. - Preparation and quality assurance of calculated market data, evaluation of data sources, and verification of the data reliability. - Produce valuations for the financial instruments- portfolios, utilizing Summit

  • Analyst role for a duration ranging between 2-6 years. Technical expertise and a desire to improve in following technologies: FIX protocol, Linux / Unix. Excellent record for doing multi-tasking and for handling on-boarding activities at large-scale Well-organised work habits with attention to details ...

  • Fixed Income, and Derivatives. Good hands on experience in working on complex exotic securities like CDS, Swaptions, Swaps. Sound understanding of working on SQL is highly desirable. Strong time management and superior analytical skills coupled with client interfacing skills. Responsible for delivering

  • Perform the activities of treasury middle office and ensure compliance to internal policies and guidelines Provide inputs to CRCO in assessing the risk profile of treasury operations and provide timely and accurate reports Review, check and ensure all internally executed deals are processed within

  • on Market Data and VaR processes; responsible for training of new joiners in Market Risk Mumbai Team, Stakeholder Management and Leadership : - Liaise with the onshore teams, Risk Managers as well as with the relevant Change/IT teams for various key initiatives ( Tactical and Strategic Change, BAU

  • Education: CA / MBA - Finance (Tier 1) / FRM / PRM / BE with experience in banking / financial services. The typical candidate is educated to a degree level, with 4-6 years of experience in internal or statutory audit / financial risk management (credit / operational risk) / corporate finance

  • A Leading Consumer Durable Company is looking out for an active Sales Executive for Direct Selling.Very good Fixed Income and variables as well.Grab the opportunity to reach heights in the Marketing Domain ...

  • * Classic BA skills (eliciting requirements, dissecting BRD & creating use cases/ functional specifications) * Strong understanding of Wealth management, Fixed Income Instruments - Treasury/Sovereign Instruments, Corporate Debt, Credit Derivatives such as Futures, Options etc. * Understanding

  • Calculating live trade credit risk across all markets (FX, rates, equities, fixed income, commodities, etc.) and financial products (loans, derivatives) Performing ad-hoc analysis Should have Strong technical skills, thorough knowledge of credit risk and derivative products with relevant

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