Position requires a Bachelors degree, or foreign equivalent, in Finance, Economics, Global Development Studies, or related field, and two 2 years of experience in the job offered, as Senior Analyst, Risk Analyst, or related. Full term of experience must include each of the following Capital markets sector across back office, front office, risk management, and other various capacities; Sales andor relationship management within financial services, including liaising with frontoffice staff and client back officemiddle office groups; Information gathering, research, and analysis of data to inform investment decisions; Use of Bloomberg application to analyze corporate bonds and communicate with team members and external clients; and, Use of advanced Excel functions and related technologies to run reports such as daily inventory reports and daily volume reports. Employer will accept any suitable combination of education, training, or experience.br br Remote work permitted within commuting distance.br br Approximately 15 travel to domestic and international offices.
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