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35 jobs found for Market Risk Analyst Jobs Tardeo

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  • Designation : Risk Analyst-Market Risk Department : Market Risk Job Description: Regular analysis of ALM statements to review the movements in balance sheet Regular updation of various data bases used for liquidity and interest rate risk related analysis/analysis basis this data Intraday Required Profile: Experience: 1-3 years in Financial Sector preferably risk area Understanding of the risk involved in ...

  • Job Profile: Identifies, analyzes, monitors and minimizes complex areas of risk that pertain to information technology. Coordinates closely with disaster recovery and data security teams. May allocate/coordinate work within a team/project. Provides value input into risk reports. Presents Bachelor's degree in computer science or a related discipline, or equivalent work experience required, advanced ...

  • Job Profile: Identifies, analyzes, monitors and minimizes complex areas of risk that pertain to information technology. Coordinates closely with disaster recovery and data security teams. May allocate/coordinate work within a team/project. Provides value input into risk reports. Presents Bachelor's degree in computer science or a related discipline, or equivalent work experience required, advanced ...

  • Position : Investment Analyst No. Of positions: 10 Experience : Minimum 1 year Location: Mumbai Note: Highest Qualification must be MBA/PGDM OR Chartered Accountant (CA). Key Roles/Responsibilities: 1.Developing financial models so as to enable the Investment team to assess investment

  • and presentation skills. Experience with UML, MS Project, Visio, Excel, Share Point Knowledge of market regulations and compliance is a plus. Should be flexible with work timings to overlap with the US clients

  • Analysis is responsible for providing periodic, accurate and independently validated reporting of CIB financials, while maximizing sustainable performance. The Financial Control & Analysis manager plays a critical part in developing and implementing the strategy to mitigate the financial risk caused

  • Analysis is responsible for providing periodic, accurate and independently validated reporting of CIB financials, while maximizing sustainable performance. The Financial Control & Analysis manager plays a critical part in developing and implementing the strategy to mitigate the financial risk caused

  • Analysis is responsible for providing periodic, accurate and independently validated reporting of CIB financials, while maximizing sustainable performance. The Financial Control & Analysis manager plays a critical part in developing and implementing the strategy to mitigate the financial risk caused

  • Analysis is responsible for providing periodic, accurate and independently validated reporting of CIB financials, while maximizing sustainable performance. The Financial Control & Analysis manager plays a critical part in developing and implementing the strategy to mitigate the financial risk caused

  • Analysis is responsible for providing periodic, accurate and independently validated reporting of CIB financials, while maximizing sustainable performance. The Financial Control & Analysis manager plays a critical part in developing and implementing the strategy to mitigate the financial risk caused

  • Analysis is responsible for providing periodic, accurate and independently validated reporting of CIB financials, while maximizing sustainable performance. The Financial Control & Analysis manager plays a critical part in developing and implementing the strategy to mitigate the financial risk caused

  • of Returns Requests according to Market Return Policy Conditions and ensure all relevant documentation is in place for analysis of credit/debit value -Manage the execution of Refusals with Customers & Transport and receive and archive all relevant information of the case - Manage, monitor and coordinate

  • of Returns Requests according to Market Return Policy Conditions and ensure all relevant documentation is in place for analysis of credit/debit value -Manage the execution of Refusals with Customers & Transport and receive and archive all relevant information of the case - Manage, monitor and coordinate

  • of Returns Requests according to Market Return Policy Conditions and ensure all relevant documentation is in place for analysis of credit/debit value -Manage the execution of Refusals with Customers & Transport and receive and archive all relevant information of the case - Manage, monitor and coordinate

  • of Returns Requests according to Market Return Policy Conditions and ensure all relevant documentation is in place for analysis of credit/debit value -Manage the execution of Refusals with Customers & Transport and receive and archive all relevant information of the case - Manage, monitor and coordinate

  • of Returns Requests according to Market Return Policy Conditions and ensure all relevant documentation is in place for analysis of credit/debit value -Manage the execution of Refusals with Customers & Transport and receive and archive all relevant information of the case - Manage, monitor and coordinate

  • - Developing mathematical models for systematic quantitative trading strategies, for example, Electronic Trading Algorithms, Index Arbitrage, Statistical Arbitrage, portfolio optimization, flow recommendation research, IOI and Market Making. - Carrying out market microstructure research

  • - Developing mathematical models for systematic quantitative trading strategies, for example, Electronic Trading Algorithms, Index Arbitrage, Statistical Arbitrage, portfolio optimization, flow recommendation research, IOI and Market Making. - Carrying out market microstructure research

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