对应专业:Finance, Economics, Engineering or a related field.
所需培训:N
培训时长:
所需培训领域:
前置经验:Y
经验时长(月):36
替代领域学历:Y
替代专业:Finance, Economics, Engineering or a related field.
可替代教育及经验组合:Y
所需教育层级:Master's
其他可替代教育层级:
认可经验年限:1
境外教育背景:Y
可替代职业:Y
可替代职业时长(月):36
可替代职业名称:Any in which required experience was gained.
是否为正常职业要求:Y
是否需要外语:N
特殊技能:Must have a Bachelors degree or foreign equivalent in Finance, Economics, Engineering or a related field, and 3 years of related work experience.br br In the alternative, employer will accept a Masters degree or foreign equivalent in Finance, Economics, Engineering or a related field, and 1 year of related work experience.br br Qualifying experience must includebr br Experience in a market risk function at a major financial institutionbr Vanilla and structured products traded within capital markets.br Capital markets and the key market risk measures and methodologies used to assess risk.br Quantitative techniques and performing trend analysis, identifying risk anomalies, and solving practical problems.br br Qualifying experience must include at least 1 year ofbr Testing in risk engines for risk types including PVBP, VaR, CS01 or similarbr RWA computationbr Leveraging multiple risk systems platforms including Summit, Global Calypso or relatedbr br Travel required up to 5 international or domestic.