Research on global markets, economy, various asset classes
Derivative pricing and analysis – options, swaps, structures
Risk management best practices implementation
Support in hedge deal execution
Data management and analysis
Interact with CFO, CEO, Treasury Managers, Treasury Executives of top corporates.
Work experience needed 0 to 2 years
Qualification : CA, MBA, CFA, FRM etc.
Job Details
Employment
Full-time
Industry
Financial Services
Risk Management • Greater Kolkata Area, India