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Derivatives & Risk Management Lead
Derivatives & Risk Management LeadCommonwealth Bank • Bengaluru, Republic Of India, IN
Derivatives & Risk Management Lead

Derivatives & Risk Management Lead

Commonwealth Bank • Bengaluru, Republic Of India, IN
22 days ago
Job description

Chapter Lead CBA India Quants chapter - Quantitative Solutions Group

Institutional Banking & Markets (IB&M) is responsible for managing the Group’s relationships with major corporate and government clients and institutional investors, and provides a full range of capital raising, transactional and risk management products and services.

See yourself in our team

You will be part of a highly driven Quantitative Solutions team providing analytical solutions to the public side of IB&M.

We aim to develop scalable and industrialised infrastructure that will change the way we work by eliminating risks, providing new insights, increasing our service quality, and creating capacity. This will enable the business resources to focus on delivering production innovation to our customers.

See yourself in our team

We are a highly driven Front Office Quantitative Solutions Group, providing market and client insights to the front-line sales and trading. Working very closely with trading, sales, IT, quants and structurers across Global Markets and Commodities Trade Carbon. We are focused on delivering key products to the various clients such Corporates, Central Banks, Asset Managers, and other financial institutions where we have a strategic advantage.

In this role

You will develop and maintain processes alongside with the team to build the bank’s derivatives pricing and risk management library and the platform based on bespoke best in class technology.

With your thorough understanding and ability in Python, you will be responsible for leveraging advanced technology platform to build automation tools for business at request.

Other responsibilities will also include :

  • Leading a team of seasoned professionals in the domain and coordinating with various stakeholders like Global Markets Trading desk / CTC trading desk / Model Validation / Market Risk / Market data teams
  • Maintaining and supporting the existing pricing tools for FICC trading and sales
  • Are knowledgeable in producing and deriving market data via the pricing processes, how they change under different market scenarios and the limitations of different pricing models under a range of market scenarios
  • Pride themselves on their ability to liaise with various stakeholders providing supporting and developing relationships
  • Are knowledgeable assisting traders in pricing and hedging and assisting sales in preparing client facing analytics
  • Query Murex and its processes and understand how the underlying pricing and risk routines operate
  • Applying in-depth understanding of Murex including pricing and market risk capital calculations

We’re interested in hearing from people who have

  • Strong knowledge in Commodity markets, Global markets , Market Risk and derivative pricing or similar hands-on experience
  • Strong experience of people management in quantitative research domain
  • Advanced Python knowledge and experience
  • Experience and deep knowledge of Murex
  • Strong attention to detail with problem solving abilities
  • Proficient experience in major computer languages, such as C++ / C# will be highly valued
  • Model governance and performance testing of FO pricing models
  • Demonstratable numerical analysis skills
  • Excellent spoken and technical written communications skills with strong influencing and interpersonal abilities
  • Tertiary qualifications in a numerate, engineering and / or IT based discipline or relevant industry experience
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    Risk Management • Bengaluru, Republic Of India, IN

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