Trading Risk & Valuation Analyst (Hybrid)

SMBC

New York (NY)

Hybrid

USD 150,000 - 200,000

Full time

14 days+
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Benefits offered by this job

Competitive salary
Annual discretionary incentive award
Comprehensive benefits package

Job summary

A leading global financial group is seeking a Trading Risk and Control professional for its Capital Markets team in New York. The role requires an individual with a strong background in financial engineering or finance, focusing on interest rate derivatives. Responsibilities include daily portfolio valuation, understanding market impacts, and interaction with a diverse team. Candidates must have at least 5 years of experience in Fixed Income, with proficiency in Python and Excel VBA. This position allows for a hybrid work arrangement, balancing remote and office work.

Qualifications

  • 5 years of work experience in Fixed Income required.
  • Deep understanding of greeks, mark to markets, and pnl attribution.
  • Excellent communication skills and teamwork.

Responsibilities

  • Understand global financial markets and follow market movements.
  • Daily valuation of the CM derivatives portfolio.
  • Proactively investigate and resolve trade discrepancies.

Skills

Financial Engineering
Finance
Computer Science
Python
Excel VBA

Education

Undergraduate or Master's Degree

Job description

A leading global financial group is seeking a Trading Risk and Control professional for its Capital Markets team in New York. The role requires an individual with a strong background in financial engineering or finance, focusing on interest rate derivatives. Responsibilities include daily portfolio valuation, understanding market impacts, and interaction with a diverse team. Candidates must have at least 5 years of experience in Fixed Income, with proficiency in Python and Excel VBA. This position allows for a hybrid work arrangement, balancing remote and office work.
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