水平: Internship

工作类型: Internship

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工作内容

You will work in the Risk department and will be in charge of various tasks related to Risk and Trading activities:
  • Assist in designing the architecture of the Risk technology and the interfaces to other functions;
  • Deliver insightful reporting and analytics that improve effective communication to traders and management;
  • Interact with traders to understand and monitor their risk and P&L;
  • Assist derivatives traders; typically providing guidance hedging schedules, booking complex trades, investigating P&L and risk issues;
  • Analyze and generate timely trading & risk reports for physical and derivative;
  • Liaise with external providers (brokers, financial institutions, etc.) for daily issues and longer-term projects;
  • View stakeholder interaction as an integral part of successful delivery

Nice to have requirements:
  • Bachelor or Master degree in Finance (or equivalent)
  • 1 year of experience in a similar position (internship incl.)
  • Ideally, you have already some experience in commodities and related financial instruments, and be able to demonstrate strong analytical and numerical skills.
  • You have a good knowledge and a strong interest for trading activities, derivatives products and Lombard loans
  • Excellent analytical skills
  • Excellent knowledge of Excel and VBA (Access a plus)
  • Good knowledge of Python
  • Organized, you know how to work in a fast paced environment and are autonomous
  • Excellent English skills (verbal and written)

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最后期限: 09-05-2024

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