Position Details
Elevate your career with HOOPP as Senior Manager for Risk Analytics and Modelling, focusing on instrument risk modelling and collaboration within the trading function.
Reporting to the Director, you will execute advanced risk management strategies while fostering relationships within HOOPP. This role demands expertise in modeling derivatives, hedge funds, and risk systems, combined with collaboration with traders and finance. Leverage your analytical skills and innovative thinking as you develop state-of-the-art tools for better risk insight and management.
Key Responsibilities:
• Model derivatives and other financial instruments
• Review and monitor embedded risk in models
• Collaborate with traders to introduce new instruments
• Establish tools for measuring financial market risks
• Assist in validating models and assessing performance
Requirements:
• Graduate degree in Finance, Statistics, or related fields
• Minimum 5 years in financial risk management...