لم يعد يتم قبول المزيد من الطلبات لهذه الوظيفة
- Analyze and quantify interest rate, FX and commodity risk exposure of the group and propose hedging strategies to mitigate such risks.
- Understand and report on market risk dynamics of the specific portfolio, key drivers impacting prices, volatility and values and their prospective impact on the risks and earnings of the portfolio.
- Ensure that volatilities, market prices, forward curves, correlations, and other key valuation components are accurately and consistently defined and updated.
- Assist in the setup, configuration and implementation of hedging of market risks and related risk analytic systems.