Masters in Financial Risk Management or closely related field, plus three years of experience in the position offered or a Data Analyst position.br br All required experience must have included applying underlying theories of risk assessment in financial markets and the modeling and valuation of cash flows; focusing on the development of estimation techniques for the measurement and mitigation of risk of financial securities, municipal bonds and derivatives; examining the use of risk management tools in constructing strategies; analyzing official statements, audited financial statements and financial operating data; capturing, reviewing and controlling data from multiple sources both manually and by using VBA Macros and SQL queries through the entire database and time periods; developing, executing and maintaining automatic data collection processes; and creating and organizing data collection guidance and processing procedures.
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