Job Description
Skills Required
- Demonstrated experience collaborating with traders
- Exceptional written and verbal communication skills
- Proficiency in working in a remote, collaborative, and fast-paced digital environment
- Proven expertise in financial risk analysis
- Strong command of quantitative and qualitative risk assessment methodologies
- Track record of interpreting financial legislation
- Up-to-date knowledge of current statistical models
Qualifications Required
- Advanced degree in Finance, Economics, Statistics, or a related discipline
- Certified Financial Risk Manager (FRM) or a comparable credential