Bank & Finans

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  • Bank & Finans
  • Stockholm
  • Referensnummer: CT/407
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Vår klient:


Our client is a leading Scandinavian bank in its field, providing a full range of retail, corporate and investment banking services and boasting some of the strongest brands in its sectors. The Group has a strong plan in place, to be sustainably one of the Northern Europe’s most admired banks. Driven by market leading businesses in large customer driven markets, the aim is to produce an attractive blend of profitability, stability and sustainable growth.


Din utmaning:

  • Working with key business functions to establish the impact of FX Prime Services, primarily focused on FX Derivatives but also some FX Cash product coverage
  • Analysing and identifying the risk parameters of all securities traded, and all positions held, and ensuring that these are correctly established and properly maintained in the portfolio management system.
  • Validating and running the risk reports on a daily basis and ensuring that the models and views produced are correct.
  • An established track record in all fields outlined above

Din bakgrund:

  • Relevant education from top university with a minimum of 5 to 10 years from FX/FI & OTC trading, FX/FI & OTC quant, prime brokerage, hedge fund or FX Broker/Dealer experience.
  • Product knowledge covering FX, Fixed Income, OTC's, Listed Derivatives, Cash securities.
  • Very strong knowledge of all securities and derivative products and the risks associated therewith.
  • Assistance with product management tasks such as competitor analysis/benchmarking

Din ansökan:

For further information and to apply, please contact Carl Tullberg on phone: +46 8 546 99 260 or send your resume with reference CT/407 to careers@humancapital.se



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