Hiring Now : Valuation Risk Controller (12 Months Contract)
Your new company You will be joining the Finance department of a top-tier global financial institution, supporting valuation control functions across a wide range of financial products and markets.
Your new role - Perform monthly independent valuations (IPV) for credit trading products such as bonds, loans, CDS, and CLNs
- Communicate with traders regularly to convey valuation results and discuss marking methodologies
- Review valuation and risk models while working closely with model developers
- Enhance and streamline existing working processes
- Contribute to regulatory deliverables and automation projects.
- Understand global financial markets, follow market movements and comprehend the impact on the portfolio and firms
What you'll need to succeed - Degree in Economics, Finance, Mathematics, or a related discipline
- Minimum 4 years of relevant experience
- Strong understanding of financial markets, especially credit asset classes
- Analytical mindset with strong Excel skills and attention to detail
- Experience with valuation of credit products or fixed income is a plus
What you'll get in return - Attractive remuneration package
- Being part of team working with international finance professionals
- Excellent growth potential within the top tier bank
What you need to do now Click 'Apply Now' if you are interested in this role. For further details or a confidential discussion in the banking and finance
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV.
If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career.