Requires three 3 years of experience with market making structured notes in secondary markets; developing hedging strategies for interest rate, FX, and credit exposure for structured notes; pricing Eurobonds and risk management in pricing and risk systems; working with cross divisional groups including Legal, Compliance, Risk, Global Capital Markets, Finance and Operations; calculating risks and PL with derivatives on asset classes including credit, FX and rates.
Categories: eb3
0 Comments