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Keywords:murex trade trading derivatives equity greeks simm livebook trs generator VaR swaps pricing statistics. Major Responsibilities:Ability to price supported equity derivatives products within Murex, using different market data sets & model settings to perform testing and validation as needed.
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Day-to-Day trade support for the Equities Derivatives/Commodities trading desk, closely interacting with traders executing and risk managing complex derivative products. This is a mid-level engineer Full-time position supporting an Equity Derivatives & Commodities Futures Trading desk.
$150,000 - $200,000 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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6 years of experience must include: Derivative pricing models and methodology; LATAM inflation modeling and analyzing market drivers for LATAM inflation trends; Hedge accounting under IFRS and NIC rules; Risk consumption metrics and methodology; Basel III regulations; Foreign Exchange and Linear Market rates pricing: Corporate finance, derivatives and capital markets; LATAM financial regulations; C.
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It provides integrated processing, accounting, and reporting capabilities across a range of financial instruments, including equities, fixed income, foreign exchange, derivatives, and commodities.
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Of financial services experience and a strong understanding of Bank Debt, Real Estate, Fixed Income, Derivatives, FX, and Equity/Option products. Our client, a $100bn+ alternative asset manager in Midtown, NY, is looking for an experienced Middle Office Operations Associate to join their team.
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Our products include debt and equity financing, mergers & acquisitions, corporate banking, institutional equity sales, trading and research, fixed income products, derivatives, energy, foreign exchange and precious & metals.
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Quantitative skills in the areas of structured finance, credit derivatives, default and recovery modeling, and / or credit risk management. Full-time relevant work experience in credit analysis of debt / capital markets, credit analysis / research, quantitative finance, model development or validation.
$85,700 - $170,400 a yearFull-timeExpandApply NowActive JobUpdated 2 days ago - UpvoteDownvoteShare Job
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Pharo trades foreign exchange, interest rates, sovereign and corporate credit, commodities, and their derivatives. Strong background in macroeconomics with at least 5 years’ experience in the macroeconomic space covering Latin America markets at a top-tier investment bank, buy-side firm, or an international financial institution (e.
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Ability to price supported equity derivatives products within Murex, using different market data sets & model settings to perform testing and validation as needed. Provide high-quality support in using the Murex platform for pricing and structuring of complex financial products within trading domain (e.g. EQD derivatives.
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Experience in Investment Accounting and/or Investment/Treasury Operations for derivatives with a foundational understanding of the upstream processes and impacts to downstream accounting and reporting.
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Preferred Qualifications: An S&P employee at this level would typically have full-time relevant work experience in credit analysis of debt / capital markets, credit analysis / research, quantitative finance, model development or validation.
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Under Global Equities Americas, Compliance provides advisory coverage and challenge for various businesses and products including Cash Equities, ECM, Equity Derivatives, Equity Research, Futures Execution and Clearing/OTC Clearing, Prime Services, Strategic Equity, and Structured Products.
$189,000 - $275,000 a yearFull-timeExpandApply NowActive JobUpdated Today - UpvoteDownvoteShare Job
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Preferred Skills: Deep understanding of the power, natural gas and/or derivatives trading businesses (i.e. instruments, exposures, valuations, strategies and vernacular) Experience with Dodd-Frank Swap Dealer regulations Excellent presentation, oral and written communication skills Experience in a compliance related role Why join bp At bp, we support our people to learn and grow in a diverse and challenging environment.
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Relevant prior experience may include roles in: credit risk management, credit underwriting, structuring, loan origination, or public rating agencies •The candidate will likely have had experience of reviewing lending or debt transactions including securitization or collateral based lending facilities and derivatives.
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Derivatives product knowledge across asset classes including interest rates, credit, equity, commodity, and FX. Capital management and associated regulatory requirements with Basel III and FRTB, including market risk, counterparty credit risk, credit valuation adjustment (CVA) or stress testing.
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derivatives job in Newark, NJ
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