Responsibilities
- Identify, assess and monitor risks related to the firm’s trading activities
- Assist in the development and maintenance of our market risk framework, and policy documentations
- Collaborate withpliance to enhance quantitative analytics and strategies to ensurepliance with regulatory requirements in various jurisdictions
- Maintain active dialogue with the trading team regarding trading and hedging strategies, risk presentation and limitpliance
- Produce ad-hoc reports or conduct analytical works for traders and management
What you offer
1 - 2 years of risk management experience gained in a bank or proprietary trading firmSolid programming skills, with experience of statistical analysis techniques and numerical implementationsFamiliarity in Python, SQL, and other programming languagesAbility to work under pressure with self-motivation and independenceAbility to meetmitments and manage multiple priorities in a fast-paced environmentExcellentmand of spoken and written English is a mustCandidate must have strong fundamentals in financial options theoryWhat we offer
Dynamic and collaborative work environmentA flat management structure, where everyone's voice is valuedWork life balance within a multi-cultural environmentAttractive benefits package with discretionary bonusEclipse Trading is an equal opportunity employer and we believe that diversity and inclusion are essential pillars of our success as apany. We are dedicated to embrace a culture reflecting a variety of perspectives, insights and backgrounds to drive innovation. We build talented and diverse teams to drive business results and encourage our people to develop to their full potential.
All information provided will be treated in strict confidence and used solely for recruitment purposes.
Due to the high number of responses that we receive, we are only able to respond to successful applicants.