Permanent Exotic Derivative Jobs

4 Permanent Exotic Derivative Jobs

Market data Python developer

London Area, United Kingdom
CRISIL Limited
expertise in the areas of equity and fixed income research (covering global economies, 150 global sectors and over 3000 global companies), credit analysis, exotic derivatives valuation, structured finance, risk modelling and management, actuarial analysis and business intelligence. Job Duties- We are looking for a talented and experienced Market more »
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Quantitative Analyst - XVA Model Validation - £90k -£110k - London Hybrid

London Area, United Kingdom
Hybrid / WFH Options
Hawksworth
IT, etc). Essential skills & experience required: A good degree in a Mathematical subject (A PhD in a Quantitative subject is desirable) knowledge of Derivative pricing models, experience in exotic derivatives, good knowledge of Credit, CVA, DVA and FVA pricing methods. Mathematical Finance skills skills in C++ more »
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Structured Products Market Risk Team Head

London Area, United Kingdom
Morgan McKinley
Develop and implement comprehensive risk monitoring frameworks and controls to identify, measure, and mitigate market risk exposures associated with the Solutions business. 3. Exotic Derivatives Expertise: Possess a deep understanding of exotic derivatives products, modelling, pricing and their market risk profiles. 4. Risk Assessment: Conduct regular … Minimum of 8 years of experience in market risk management within a financial institution, with a focus on derivatives trading. - Strong understanding of exotic derivatives products and their associated risks, including pricing models, valuation methodologies and risks. - Proven leadership experience, with the ability to effectively manage and develop more »
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Head of Structured Products Market risk

London, England, United Kingdom
Morgan McKinley
Develop and implement comprehensive risk monitoring frameworks and controls to identify, measure, and mitigate market risk exposures associated with the Solutions business. 3. Exotic Derivatives Expertise: Possess a deep understanding of exotic derivatives products, modelling, pricing and their market risk profiles. 4. Risk Assessment: Conduct regular … Minimum of 8 years of experience in market risk management within a financial institution, with a focus on derivatives trading. - Strong understanding of exotic derivatives products and their associated risks, including pricing models, valuation methodologies and risks. - Proven leadership experience, with the ability to effectively manage and develop more »
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