interest-rate-derivatives-jobs-in-erode, Erode

7 interest Rate Derivatives Jobs nearby Erode

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posted 3 weeks ago

Business Analyst

TRISTHA GLOBAL PRIVATE LIMITED
experience6 to 8 Yrs
location
Chennai
skills
  • currency
  • swaps
  • derivatives
  • forex
  • money market
  • business
  • treasury
  • rate
  • cross
  • fixed
  • income
  • analyst
Job Description
Job Role: Business Analyst Location: Chennai Work mode: WFO  Experience: 6 to 8 years Notice Period: Immediate to 45 days  About Tristha Global: Tristha Global is an India-based software services company and Quality Assurance company that focuses broadly on the BFSI sector. We provide end-to-end test automation, testing services and test management tools for businesses that focus on financial services. Roles and Responsibilities: As a Business Analyst (Treasury) you will manage Analyze and document business requirements to support treasury operations. Collaborate with various departments and stakeholders to ensure project success. This role requires strong analytical, communication, and problem-solving skills In-depth knowledge of treasury operations and financial instruments Strong analytical, quantitative, and problem-solving skills. Excellent communication, stakeholder management, and presentation abilities. Ability to work in a fast-paced, cross-functional environment. Mandatory Skills: 6-8 years of experience into Treasury modules. Any treasury application Exposure. Exposure of Money Market, Forex, Fixed income, and Derivatives. Exposure of Interest Rate Swaps, Cross currency swaps, Repo- Reverse repo, Bond & Derivatives. Experience as Business Analyst. Good hand on experience into manual testing. Excellent communication skills. If you possess the mandatory skills and relevant experience, we invite you to share your updated resume with us. Please reach us at: career@tristhaglobal.com
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posted 2 weeks ago

Treasury Test Engineer

Tristha Global Pvt. Ltd.
experience3 to 7 Yrs
location
Chennai, All India
skills
  • Money Market
  • Forex
  • Fixed income
  • Derivatives
  • Interest Rate Swaps
  • Manual testing
  • Communication skills
  • Treasury modules
  • Treasury application
  • Cross currency swaps
  • Repo Reverse repo
  • Bond Derivatives
Job Description
As a Test Engineer in our company, your role will involve testing Treasury modules with a focus on various financial aspects such as Money Market, Forex, Fixed income, and Derivatives. Your responsibilities will include: - Having 3-6 years of experience in Treasury modules. - Being familiar with any treasury application. - Demonstrating exposure to Money Market, Forex, Fixed income, and Derivatives. - Having knowledge of Interest Rate Swaps, Cross currency swaps, Repo- Reverse repo, Bond & Derivatives. - Possessing strong manual testing skills. - Demonstrating good communication skills. There are no additional details about the company provided in the job description. As a Test Engineer in our company, your role will involve testing Treasury modules with a focus on various financial aspects such as Money Market, Forex, Fixed income, and Derivatives. Your responsibilities will include: - Having 3-6 years of experience in Treasury modules. - Being familiar with any treasury application. - Demonstrating exposure to Money Market, Forex, Fixed income, and Derivatives. - Having knowledge of Interest Rate Swaps, Cross currency swaps, Repo- Reverse repo, Bond & Derivatives. - Possessing strong manual testing skills. - Demonstrating good communication skills. There are no additional details about the company provided in the job description.
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posted 1 month ago

Senior Analyst - French Confirmations

Societe Generale Global Solution Centre
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • OTC TSU Experience
Job Description
Role Overview: As a member of the team, your role will involve having a strong understanding of various financial products such as Interest Rate, FX Derivatives, FXO Derivatives, CDS, Corporate, and Interbank products. You will be responsible for trade capture, events management, novations, terminations, offsets, and TSU trade controls. Key Responsibilities: - Demonstrate expertise in OTC TSU experience - Manage disputes including BO query management, follow-up, intercompany and inter desk trade reconciliations - Perform control functions such as amend and cancel report analysis, duplicate checks, pending fixing follow-ups, etc - Contribute to KRI/KPI by ensuring timely and accurate data capture - Challenge the status quo to bring process improvement ideas and innovation - Report and escalate client incidents, know key clients, and be client-centric - Understand operational risk in your respective perimeter and escalate errors/incidents immediately - Complete the Task Tracker in a timely manner Qualifications Required: - Skills in OTC TSU experience - Strong analytical and problem-solving skills - Excellent communication and interpersonal abilities - Ability to work effectively in a team environment - Attention to detail and ability to manage multiple tasks simultaneously Additional Company Details: At Socit Gnrale, we believe in the power of people to drive change and shape the future. Whether you join us for a short period or your entire career, you will have the opportunity to make a positive impact. We encourage creating, daring, innovating, and taking action to be part of our culture. By joining us, you can grow in a stimulating environment, feel useful, and develop your expertise while contributing to a better future. Our commitment to diversity and inclusion is reflected in our support of accelerating our Group's ESG strategy. We implement ESG principles in all our activities and policies, ensuring a responsible approach to business practices and the environment. Join us today and be a part of a dynamic team that values collaboration, innovation, and making a difference in the world.,
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posted 3 weeks ago

Treasury Business Analyst

Tristha Global Pvt. Ltd.
experience6 to 10 Yrs
location
Chennai, Tamil Nadu
skills
  • Money Market
  • Forex
  • Fixed income
  • Derivatives
  • Interest Rate Swaps
  • Manual testing
  • Communication skills
  • Treasury modules
  • Treasury application experience
  • Cross currency swaps
  • Repo Reverse repo
  • Bond Derivatives
  • Business Analyst
Job Description
You have a job opportunity for the position of Business Analyst in the Treasury department with a requirement of 6 to 8 years of experience. The job is based in Chennai or Mumbai, and the ideal candidate should have immediate to 45 days notice period. **Role Overview:** As a Business Analyst in the Treasury department, you will be responsible for analyzing and understanding Treasury modules. Your role will involve working with various treasury applications and dealing with Money Market, Forex, Fixed income, and Derivatives. You will also handle Interest Rate Swaps, Cross currency swaps, Repo-Reverse repo, Bond & Derivatives. Additionally, you will be required to perform manual testing and have excellent communication skills. **Key Responsibilities:** - Analyze and understand Treasury modules. - Work with various treasury applications. - Deal with Money Market, Forex, Fixed income, and Derivatives. - Handle Interest Rate Swaps, Cross currency swaps, Repo-Reverse repo, Bond & Derivatives. - Perform manual testing. - Communicate effectively with stakeholders. **Qualifications Required:** - 6-8 years of experience in Treasury modules. - Experience with any treasury application. - Exposure to Money Market, Forex, Fixed income, and Derivatives. - Familiarity with Interest Rate Swaps, Cross currency swaps, Repo-Reverse repo, Bond & Derivatives. - Proven experience as a Business Analyst. - Strong manual testing skills. - Excellent communication skills.,
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posted 1 month ago
experience1 to 5 Yrs
location
Chennai, Tamil Nadu
skills
  • Data Management
  • Analytical Skills
  • Credit Analysis
  • Loan Operations
  • Data Entry
  • Critical Thinking
  • Communication Skills
  • Real Estate Investment
  • Attention to Detail
  • Japanese Proficiency
  • Financial Document Processing
  • Real Estate Familiarity
Job Description
As a member of the Loan Data Extraction team at Chatham Financial specializing in institutional real estate clients, you will have the opportunity to review and extract data from various real estate source documents such as loan agreements, promissory notes, and guarantees. Your role is crucial in ensuring the accurate modeling of debt portfolios for clients, requiring you to maintain data completeness, accuracy, and timely delivery. **Key Responsibilities:** - Collaborate with internal team members and stakeholders to ensure timely project completion and client satisfaction. - Effectively communicate complex ideas and information related to data extraction and quality assurance. - Complete internal training modules to enhance skills necessary for efficient extraction responsibilities. **Qualifications Required:** - Post Graduate degree in Commerce, Accounting, Finance, or related fields. - 1-3 years of experience in financial document processing, credit analysis, loan operations, or a similar field. - Proficient in speaking and writing Japanese. - Attention to detail is crucial to avoid errors in loan terms, interest rates, borrower details, and covenants. - Familiarity with loan documents such as credit agreements, promissory notes, and term sheets. - Efficient data entry skills with high accuracy to ensure smooth downstream processing. - Critical thinking and pattern recognition abilities for identifying inconsistencies and potential issues. - Strong communication skills to effectively convey information to internal team members and stakeholders. - Real estate familiarity or experience with institutional real estate data is a plus. Chatham Financial is the largest independent financial risk management advisory and technology firm, providing debt and derivative solutions to clients across various industries. With a team of over 750 employees, Chatham serves more than 3,500 companies, handling significant transaction volumes annually. Founded in 1991, Chatham aims to help businesses maximize their value in the capital markets. Visit chathamfinancial.com to learn more about the company. Chatham Financial is an equal opportunity employer.,
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posted 2 weeks ago
experience3 to 7 Yrs
location
Chennai, All India
skills
  • Financial Analysis
  • Accounting
  • Excel
  • Communication
  • Problem Solving
  • Financial Concepts
Job Description
When you work at Chatham Financial, you are not just an employee; you are an investment. Professional development opportunities are offered to help you grow in your career, whether you are new to the company or a long-term employee. Chatham Financial has cultivated a work environment that prioritizes people, teamwork, integrity, and client service. As a Senior Analyst - Onboarding and Services at Chatham Financial in India, you will be an integral part of the Onboarding and Services team, working closely with talented subject matter experts on complex projects. In this role, you will: - Analyze and profile data related to commercial real estate, covering areas such as property management, accounting, debt, and fund reporting. - Standardize data from various sources for integration into the company's systems. - Test products to ensure accuracy and functionality. - Collaborate with cross-functional teams to resolve data discrepancies and enhance onboarding processes. Your Impact: As an Analyst in the Onboarding and Services team, you will be instrumental in assisting institutional clients in effectively managing and analyzing commercial real estate data. Your meticulous attention to detail and data standardization skills will enable investors to make well-informed decisions based on precise insights. Working with internal teams, you will uphold the highest standards of data quality while testing new products. To be successful in this role, you should have: - A Graduate or Post Graduate degree in Commerce, Accounting, Finance, or a related field. - 3-5 years of experience in financial backgrounds like accounting, financial analysis, or banking. - Proficiency in financial concepts, including financial statements, budgeting, forecasting, and financial modeling. - Exceptional attention to detail and a focus on delivering error-free work. - Ability to quickly grasp new information and apply it effectively. - Advanced Excel skills, including pivot tables, nested IFs, and other functions. - Strong written and verbal English communication skills to explain complex financial concepts clearly. - A solution-oriented mindset with the ability to independently solve problems proactively. - Self-driven and highly motivated with a strong sense of responsibility. About Chatham Financial: Chatham Financial is the leading independent financial risk management advisory and technology firm. With expertise in debt and derivative solutions, Chatham offers clients access to extensive knowledge, innovative tools, and a team of nearly 700 employees to help mitigate risks associated with interest rate, foreign currency, and commodity exposures. Serving over 3,000 companies in various industries annually, Chatham handles transaction volumes exceeding $750 billion, aiding businesses in maximizing their value in the capital markets. Visit www.chathamfinancial.com to learn more. Chatham Financial is an equal opportunity employer. When you work at Chatham Financial, you are not just an employee; you are an investment. Professional development opportunities are offered to help you grow in your career, whether you are new to the company or a long-term employee. Chatham Financial has cultivated a work environment that prioritizes people, teamwork, integrity, and client service. As a Senior Analyst - Onboarding and Services at Chatham Financial in India, you will be an integral part of the Onboarding and Services team, working closely with talented subject matter experts on complex projects. In this role, you will: - Analyze and profile data related to commercial real estate, covering areas such as property management, accounting, debt, and fund reporting. - Standardize data from various sources for integration into the company's systems. - Test products to ensure accuracy and functionality. - Collaborate with cross-functional teams to resolve data discrepancies and enhance onboarding processes. Your Impact: As an Analyst in the Onboarding and Services team, you will be instrumental in assisting institutional clients in effectively managing and analyzing commercial real estate data. Your meticulous attention to detail and data standardization skills will enable investors to make well-informed decisions based on precise insights. Working with internal teams, you will uphold the highest standards of data quality while testing new products. To be successful in this role, you should have: - A Graduate or Post Graduate degree in Commerce, Accounting, Finance, or a related field. - 3-5 years of experience in financial backgrounds like accounting, financial analysis, or banking. - Proficiency in financial concepts, including financial statements, budgeting, forecasting, and financial modeling. - Exceptional attention to detail and a focus on delivering error-free work. - Ability to quickly grasp new information and apply it effectively. - Advanced Excel skills, including pivot tables, nested IFs, and other functions. - Strong written and verba
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posted 2 weeks ago

Senior Analyst - French Confirmations profile

Societe Generale Global Solution Centre
experience3 to 7 Yrs
location
Chennai, Tamil Nadu
skills
  • OTC TSU Experience
Job Description
Role Overview: You will be responsible for having a strong knowledge of various products such as Interest Rate, FX Derivatives, FXO Derivatives, CDS, Corporate, and Interbank products both electronic and paper platform. Your role will involve trade capture, events management, novations, terminations, offsets, and TSU trade controls. Key Responsibilities: - OTC TSU experience - Dispute management including BO query management and follow up, intercompany and inter desk trade reconciliations - Control functions like amend and cancel report analysis, duplicate checks and follow-up, pending fixing follow-ups, etc - Attend to WB (Work Breakdown) - Contribute to KRI/KPI by ensuring timely and accurate data capture - Challenge the status quo to bring in process improvement ideas and innovation - Report and escalate Client Incidents - Understand operational risk in their respective perimeter - Escalate errors and incidents immediately - Complete the Task Tracker in a timely manner Qualifications Required: - Strong skills in OTC TSU Experience Additional Details of the Company: At Socit Gnrale, the belief is that people are the drivers of change and the world of tomorrow will be shaped by all their initiatives, from the smallest to the most ambitious. Joining the company means having a positive impact on the future by creating, daring, innovating, and taking action. The company encourages employees to be directly involved, grow in a stimulating and caring environment, feel useful on a daily basis, and develop or strengthen their expertise. Employees are given the opportunity to dedicate several days per year to solidarity actions during their working hours, including sponsoring people struggling with their orientation or professional integration, participating in the financial education of young apprentices, and sharing their skills with charities. Socit Gnrale is committed to supporting the acceleration of its Group's ESG strategy by implementing ESG principles in all activities and policies, translating them into business activity, work environment, and responsible practices for environmental protection.,
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posted 2 months ago

Calypso Scripting Developer

Minutes to Seconds
experience7 to 11 Yrs
location
All India
skills
  • Calypso
  • Java
  • OOPS
  • Collection
  • Multithreading
  • Jboss
  • Gradle
  • Fixed income
  • Credit derivatives
  • Market risk
  • Back office operations
  • Static data
  • Oracle PLSQL
  • Open API
  • Bloomberg SAPI
  • TOMS
  • Reuters feed
  • Deal tracker
  • FX derivative
  • Interest rate
  • ERS limit setup
  • Var Set up
  • Official Pl
  • Accounting setup
  • Curve
  • Market data setup
  • Calypso work station
  • Front office workstation
  • Transfers
  • settlements
  • Position configuration
  • Integration patterns
  • Open banking
Job Description
As an experienced Calypso Consultant with 7-10 years of hands-on experience, your role will involve implementing, configuring, and maintaining Calypso systems for various asset classes such as Fixed Income, Money Market, Interest Rate, FX, Credit Derivatives, and Non-linear Derivatives. You will play a critical role in front-to-back implementation of Calypso, including risk management systems with ERS implementation of Limit and VaR. **Key Responsibilities:** - Extensive knowledge of Calypso architecture, APIs, and modules - Hands-on experience in Java development with key concepts like OOPS, Collection, and Multithreading - Understanding of Oracle PLSQL and Calypso data model - Experience with application servers like JBoss and build tools like Gradle - Integration experience with trade and market data interfaces such as Bloomberg SAPI, TOMS, Reuters feed, and Deal tracker - Analysis and System Implementation with a focus on trading platforms - Setup and configuration of Calypso workstations for front and back office operations - Knowledge of position configuration, official P&L, accounting setup, curve, and market data setup in Calypso - Understanding of Calypso integration patterns like Open API/Open Banking - Ability to troubleshoot network/server-level interactions of Calypso modules **Qualifications Required:** - Degree or Postgraduate in Computer Science or related field - Minimum 7-10 years of experience in implementing Calypso systems - Strong understanding of Calypso architecture and APIs from the latest version (Minimum V15.2) - Hands-on experience with Java 1.7 or higher - Familiarity with Oracle PLSQL, JBoss, Gradle, and integration patterns - Soft skills including the ability to influence multiple teams, self-motivation, and excellent interpersonal skills If you have the technical expertise, functional skills, and soft skills required for this role, and you are ready to take ownership of driving projects and collaborating effectively with teams across the organization, we encourage you to apply for this challenging and rewarding position.,
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posted 2 months ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Market analysis
  • Risk management
  • Performance monitoring
  • Analytical abilities
  • Decisionmaking skills
  • Understanding of derivatives market
  • Derivative report preparation
  • Trading platforms knowledge
  • Charting tools knowledge
Job Description
As a Derivatives Analyst or Trader at Liquide, a fast-paced Fintech startup, your role will involve recommending intraday trades in index options and stock futures, preparing comprehensive derivative reports, and delivering actionable insights to enhance trading performance. Your strong analytical abilities, sound decision-making skills, and deep understanding of the derivatives market will be crucial in this dynamic environment. **Key Responsibilities:** - **Intraday Trading Recommendations:** - Monitor live markets to identify and recommend intraday trading opportunities in index and stock futures & Options based on strategic analysis. - Stay updated on market trends to provide timely and accurate trade recommendations. - Assist in implementing effective risk management practices to mitigate potential losses. - **Market Analysis:** - Conduct thorough analysis of market trends, price movements, and macroeconomic factors influencing derivatives. - Prepare detailed pre-market and post-market analysis to guide trading strategies. - **Derivative Report Preparation:** - Develop comprehensive derivative reports that include option chain analysis, open interest trends, and volatility data. - Provide actionable insights and strategic recommendations based on report findings. - **Performance Monitoring:** - Track trade performance and provide regular updates on key metrics such as profit/loss, hit rate, and risk-reward ratios. - Identify areas for improvement and refine strategies to enhance returns. **Key Skills & Qualifications:** - Minimum 5 years of proven experience in recommending Index/Stock Options & Futures trades. - Strong understanding of derivatives, including the use of complex data like volatility and Greeks. - Experience with risk management and hedging strategies. - Excellent analytical and problem-solving skills with the ability to perform effectively under pressure. - Familiarity with trading platforms and charting tools such as Trading View. - Certifications such as NISM Derivatives and Research Analyst Modules are highly desirable. - A degree in Finance, Economics, or a related field is preferred.,
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posted 2 weeks ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Analytical skills
  • Communication skills
  • Credit Derivatives
  • Interest Rate Derivatives
  • Equity Derivatives
  • Fixed Income
  • FX Derivatives
  • Commodities
  • Murex Finance consultant
  • Murex accounting module
  • Murex Hedge Accounting module
  • Capital Markets products
  • Murex Static data
  • Finance processes in Murex
  • Functional accounting knowledge
  • Murex datamart module
  • Problem solving skills
  • FX Cash
  • Structured Derivatives
Job Description
As a Murex Finance consultant with a minimum of 5 years of experience, you will be responsible for handling various aspects of the Murex accounting module, including accounting for trades, flows, liquidation, and business events. Your expertise in implementing and supporting Murex v3.1 with a focus on Finance capabilities will be crucial for the success of the projects. Key Responsibilities: - Lead and deliver projects related to Murex implementation and support - Demonstrate excellent knowledge of Capital Markets products and processes from front to back - Manage Murex static data such as counterparts, securities, historical data, indices, Fx conversion factors, and Fx spot - Configure accounting rules and generate GL files within Murex - Utilize functional accounting knowledge to enhance the liquidation module - Work extensively with the Murex datamart module to extract valuable insights - Apply strong analytical and problem-solving skills while maintaining effective communication throughout the process Qualifications Required: - Minimum 5 years of experience as a Murex Finance consultant - Proficiency in Murex Hedge Accounting module is advantageous - Knowledge of asset classes including Credit Derivatives, Interest Rate Derivatives, Equity Derivatives, Fixed Income, FX Cash, FX Derivatives, Commodities, and Structured Derivatives - Excellent understanding of Finance processes in Murex Please note that this job requires strong leadership skills, in-depth knowledge of Murex functionalities, and the ability to navigate complex financial scenarios effectively.,
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posted 2 months ago
experience2 to 6 Yrs
location
Maharashtra
skills
  • Quantitative Finance
  • Risk Management
  • Risk Metrics
  • Analytical Skills
  • Written Communication
  • Verbal Communication
  • Presentation Skills
  • Derivative Products
  • ProblemSolving Skills
Job Description
Role Overview: You will be part of the Pool desk (within TMI) in Mumbai, playing a crucial role in the bank's success by managing short-term unsecured funding through money markets. Your responsibilities will include funding the working capital of the bank efficiently while managing and hedging interest rate and FX risks. Additionally, you will be involved in overseeing the submission of the Bank's contributions to global interest rate calculations. Key Responsibilities: - Provide comprehensive risk management and analytics support to the desk. - Collaborate with local pool managers to analyze net interest income drivers, adjust FTP, liquidity deployment, evaluate funding options, and ensure regulatory compliance. - Analyze Risk and P&L for Local Pools independently. - Assist in regional rollouts of new infrastructure systems and treasury change projects. - Automate ticketing processes and reports production. - Contribute to relevant Treasury projects regionally and globally. - Work closely with business, Markets, Risk, and Finance stakeholders to drive key Treasury initiatives and agenda. - Prepare Treasury inputs and support Treasury participation in forums or meetings. Qualifications Required: - University degree with a quantitative focus (Economics, Finance, Mathematics, Computer Science, etc.). - Minimum of 2 years of professional experience in dealing with quantitative finance concepts, supporting a trading/structuring desk, or a trading risk management function. - Product knowledge in unsecured cash and derivative products; understanding of risk metrics such as PV01 and VAR. - Strong analytical, problem-solving, written, verbal communication, and presentation skills. Additional Company Details: The company, Deutsche Bank Group, fosters a culture of empowerment, responsibility, commercial thinking, initiative, and collaboration. They support continuous learning and development, offering coaching and flexible benefits tailored to individual needs. The company promotes a positive, fair, and inclusive work environment, welcoming applications from all individuals.,
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posted 2 months ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Asset Classes
  • Total Return Swaps TRS
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Yield curve
  • Parallel shifts in yield curve
  • Point shifts in yield curve
Job Description
As an experienced market risk professional with 3-8 years of experience in market risk measurement within an investment bank or other financial institution, you must have previous VaR or Credit Risk experience. Your knowledge in Asset Classes should include at least 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives & Structured Products. Your role will require experience and knowledge of Fixed Income and Derivatives, especially Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA etc. It is essential to have a basic understanding of pricing and valuation of these products. You should also have an understanding of key risk/profitability concepts such as Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve, parallel and point shifts in yield curve etc. Ideally, you should hold a higher degree in finance or a related area, or a professional qualification such as CFA, FRM, PRIMA. General knowledge of risk issues and investment products, along with some programming skills, would be desirable. Your ability to work well in a team, build relationships, produce high-quality work under pressure and tight deadlines, question the status quo, and provide alternative approaches will be crucial in this role.,
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posted 2 months ago
experience5 to 15 Yrs
location
Hyderabad, Telangana
skills
  • commodities
  • collateral management
  • Swift
  • FedWire
  • Bloomberg
  • General Ledger
  • Calypso software projects implementations
  • interest rates derivatives
  • FX Options
  • equity derivative asset classes
  • financial market utilities
  • DTCC SDR
  • AcadiaSoft
  • TriResolve
  • internal systems
  • market
  • credit risk
  • data warehouses
  • Gene
Job Description
As a candidate for the position, you should have a minimum of 5 to 15 years of experience in managing Calypso software projects implementations. Your experience should include working with interest rates derivatives, commodities, FX Options, equity derivative asset classes, and collateral management. Additionally, you should have experience managing Calypso software implementations with financial market utilities such as DTCC, SDR, Swift, FedWire, Bloomberg, AcadiaSoft, or TriResolve, as well as internal systems like General Ledger, market and credit risk, and data warehouses. Key Responsibilities: - Manage Calypso software projects implementations - Work with interest rates derivatives, commodities, FX Options, equity derivative asset classes, and collateral management - Collaborate with financial market utilities and internal systems for seamless integration Qualifications Required: - Minimum of 5 to 15 years of experience managing Calypso software projects implementations - Experience in interest rates derivatives, commodities, FX Options, equity derivative asset classes, and collateral management - Familiarity with financial market utilities and internal systems for effective implementation This role also requires the following certifications: - Calypso Certified Professional - Financial Risk Manager (FRM),
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posted 2 months ago

Derivatives Specialist

Client of Talent Leads HR Solutions Pvt Ltd
experience20 to 24 Yrs
location
Maharashtra
skills
  • Fx
  • Interest Rates
  • Python
  • VBA
  • MS Excel
  • BI tools
  • OTC derivative products
  • quantitative pricing
  • Valuation models
Job Description
**Role Overview:** As the Vice President in the Derivatives Department, your primary responsibility will be to assist the Head of Department in the effective functioning and expansion of Derivative products offering. You will be leading a team of professionals to manage day-to-day operations, develop new products, and market them to Banks, Financial Institutions, Corporates, and FPIs. Additionally, you will oversee the LOU operations of LEIL, a subsidiary issuing LEI to corporate entities. **Key Responsibilities:** - **Trading platforms management for Interest Rates and Fx:** - Manage a team for the smooth operations of existing trading platforms and create new ones. - **Clearing and Settlement:** - Lead a team in Clearing and Settlement activities and drive the development of new products. - **Marketing of existing and New trading platforms /Clearing/Non Centrally Cleared Derivatives Margining and Collateral Management:** - Promote services to Banks, Financial Institutions, and Corporates. - **Managing the LOU operations of LEIL:** - Oversee the team managing the LOU activities. - **Research and Development:** - Stay updated on developments in OTC derivative markets globally and assist in developing suitable products and services. **Qualifications Required:** - MBA in Finance **Additional Details:** - You are expected to have more than 20 years of experience in Derivatives Market, preferably with experience in Treasury aspects of Banking/Financial Institution. - Preferred qualifications include CQF/CFA/FRM. - Hands-on experience in OTC derivative products like Forwards, Swaps, and Options is desired. - Proficiency in Python, VBA, MS Excel, and other BI tools is desired. - Core competencies such as analytical thinking, drive for results, quantitative aptitude, customer centricity, teamwork, leadership, and people management are essential. - Functional competencies include understanding Clearing and Trading platforms, pricing, valuation, and risk aspects of OTC Derivative products, and awareness of new market technologies/trends. - Excellent communication skills and the ability to lead a team and adapt to emerging developments are crucial for this role.,
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posted 1 week ago
experience3 to 8 Yrs
location
Karnataka
skills
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Total Return Swaps
  • TRS
  • Credit Derivatives
  • CVA
  • investment products
  • statistical analyses
  • Asset Classes
  • FVA
  • pricing
  • valuation
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Mark to Market volatility
  • Yield curve parallel
  • point shifts in yield curve
  • security pricing
  • interest rate curves
  • term structure sensitivity
  • risk profitability concepts
  • risk issues
  • programming skills
Job Description
As a member of the Market Risk team at Infosys Limited, your role will involve expanding the team's presence in India to support activities in data management, risk operations, product, and research. Your expertise in working with real-world data and conducting statistical analyses will be crucial for the team's success. We are seeking individuals who are motivated self-starters, team players, eager collaborators, continuous learners, and committed to going the extra mile for our internal and external clients. Key Responsibilities: - Possess at least 3-8 years of experience in market risk measurement within an investment bank or financial institution, with previous exposure to VaR or Credit Risk. - Demonstrate knowledge in Asset Classes, specializing in any 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives, Structured Products. - Exhibit experience and knowledge in Fixed Income and Derivatives, particularly in Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Showcase a basic understanding of pricing and valuation of financial products. - Understand key risk and profitability concepts including Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve parallel and point shifts, etc. - Demonstrate the ability to analyze the price of a security into its various constituent components such as interest rate curves and relevant term structure sensitivity. - Possess a higher degree in finance or related fields, or a professional qualification like CFA, FRM, PRIMA would be advantageous. - Have a general knowledge of risk issues, investment products, and some programming skills. - Ability to work effectively in a team, build strong relationships, and deliver high-quality, accurate work under pressure and tight deadlines. - Willingness to challenge the status quo, question assumptions, and provide alternative approaches. Preferred Skills: - Domain expertise in Financial Risk Management, specifically in Credit Risk Management and Market Risk Measurement & Control.,
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posted 2 months ago

Project Manager - Associate

JPMC Candidate Experience page
experience3 to 7 Yrs
location
Maharashtra
skills
  • Derivatives
  • Interest Rate Swaps
  • Futures
  • Settlements
  • Regulatory Reporting
  • Finance
  • Market Risk
  • Credit Risk
  • Operational Risk
  • Legal
  • Collateral
  • Communication Skills
  • Analytical Skills
  • Problem Solving
  • Project Management
  • Technical Skills
  • Excel
  • VBA
  • Risk Management Systems
  • Hedging Products
  • Basis Swaps
  • Cross Currency Swaps
  • Forward Rate Agreement FRA
  • Foreign Exchange FX
  • Zero Coupon
  • Overnight Index Swaps OIS
  • Bond
  • Operations Process
  • Confirmations
  • Infrastructure Groups
  • Attention to Details
  • Numerical Skills
  • Control Skills
Job Description
You are a strategic thinker passionate about driving solutions in Trading Services. You have found the right team. As a Trading Services Associate within the Trading Services Team, you will be responsible for understanding trading structures to accurately capture all transactions, complete reconciliation checks, and ensure controls are performed. You will work closely with Operations functions and infrastructure groups to support a one team approach and ensure all controls are diligently performed, completed, and signed off on a timely basis. This role provides an opportunity to build an in-depth understanding of all trading structures from both a financial and operational perspective, while participating and contributing to various strategic initiatives to improve and evolve processes and business architecture. - Timely and accurate capture of all transactions in the Risk Management Systems - Complete intraday / end of day processes including completeness and reconciliation checks to ensure capture of new trading activity and general book management has been processed accurately - Work closely with Operations functions and infrastructure groups to support a one team approach - Ensure all controls are diligently performed, completed, and signed off on a timely basis - Communicate clearly and concisely with all support teams to ensure timely and efficient resolution of queries. - Participate and contribute to the various strategic initiatives; keep improving and evolving processes and business architecture - Build an in-depth understanding of all trading structures from both a financial and operational perspective - Understand all relevant derivatives and hedging products (Interest Rate Swaps, Basis Swaps, Cross Currency swaps, Forward Rate Agreement (FRA), Foreign Exchange (FX), Zero Coupon and Overnight Index Swaps (OIS), Bond and Futures) - Knowledge of the front to back Operations process (including the key elements such as confirmations, settlements, and regulatory reporting) and facilitate issue resolution across teams - Understand the key elements of other infrastructure groups (i.e. Finance, Market risk, Credit risk, Operational risk, Legal, Collateral, etc.) and recognize the impact of the actions of the Trade support team on these areas - Must have clear communication skills and an ability to use these to work collaboratively, explain, and challenge, as appropriate - Attention to details and sense of ownership - Great team player able to work in a pressurized and changing environment - Possess strong analytical and numerical skills - Strong problem-solving, control, and project management skills - Strong technical skills, especially in Excel / VBA,
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posted 1 month ago
experience2 to 6 Yrs
location
All India
skills
  • Interest Rates
  • Risk Management
  • Excel
  • Foreign Exchange markets
  • CashLiquidity Management
  • FX execution
Job Description
As a member of the FX Risk Management Team at the company, your role involves managing Forex exposure across various divisions such as Trading, Finance, and Overheads. You will be responsible for identifying FX exposure, developing hedging strategies, and executing FX trades with internal traders. Your interactions will be frequent with commercial traders, the deals desk, and operators to highlight forex risks, market opportunities, and update the FX P&L in a timely manner. Additionally, you will be involved in managing the allocation of FX hedges to underlying exposures and overseeing the settlement of derivatives at maturity with the back office. Collaboration with Treasury to manage liquidity in foreign currency accounts will also be part of your responsibilities to minimize exposure and costs related to interest rates and overdrafts. **Key Responsibilities:** - Identify, analyze, mitigate, and manage back-office activities associated with Foreign Exchange Risk from Trafiguras Trading and Investment business. - Collaborate with Traders, Operations, and the Deals Desk to identify FX risks. - Develop hedging strategies for new geographies and business lines based on understanding of FX exposure and currency regulations. - Execute FX trades with internal brokers. - Monitor markets for key events, opportunities, and early signs of distress, providing timely updates to management and traders. - Allocate hedge P&L to underlying exposures and evaluate hedge effectiveness. - Work closely with the Derivatives Back Office for daily settlements and discrepancy resolution. - Partner with Treasury to manage liquidity in foreign currency accounts and minimize exposure and costs related to interest rates and overdrafts. - Support FX reconciliations and contribute to the development of FX systems for process improvement. **Qualifications Required:** - Experience: 2-4 years of relevant experience in Foreign Exchange markets, Interest Rates, Cash/Liquidity Management, and Risk Management. Experience in FX execution is preferred. - Qualifications: CA or MBA in Finance, with FRM certification preferred. - Soft Skills: Ability to work under pressure, flexibility, proactive attitude. - Teamwork: Strong team-player with dynamic personality, energy, and drive. - Technical Skills: Proficiency in Excel; familiarity with multiple systems is a plus. - Communication: Excellent English communication skills, both written and verbal. The company maintains key relationships with the Trading floor, Deals Desk, Trade Finance, Operational Treasury, Internal Broker, and Back Office. Your reporting structure will be under the FX Risk Manager at TGS.,
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posted 2 months ago
experience3 to 7 Yrs
location
Maharashtra
skills
  • Stochastic Calculus
  • Partial Differential Equations
  • Python
  • Financial Markets
  • Mathematical Modeling
  • Quantitative Analysis
  • Communication Skills
  • MonteCarlo Methods
  • Finite Difference Methods
  • Numerical Algorithms
  • Derivative Pricing
Job Description
Role Overview: Model Validation Analyst - Derivative Pricing position at Deutsche Bank in Mumbai, India involves actively managing model risk globally, including performing independent model validation, identifying model risks proactively, recommending model risk appetite, managing and mitigating model risks effectively, establishing model risk metrics, and designing a strong model risk management and governance framework. The Pricing Model Validation team is responsible for independently reviewing and analyzing derivative pricing models used for valuation and pricing across the bank. Key Responsibilities: - Independently review and analyze derivative models for pricing and risk management across Rates, FX, and Hybrids. - Collaborate with the pricing validation team in London and Berlin to produce, analyze, and document validation testing. - Demonstrate a good understanding of mathematical models, implementation methods, products traded in the markets, and associated risks. - Discuss the outcomes of review and analysis with key model stakeholders such as Front Office Trading, Front Office Quants, Market Risk Managers, and Finance Controllers. Qualifications Required: - Strong mathematical ability with knowledge of Stochastic Calculus, Partial Differential Equations, Monte-Carlo Methods, Finite Difference Methods, and Numerical Algorithms. - Interest in financial markets, especially derivative pricing, supported by qualifications and/or experience. - Proficiency in coding in Python. - Excellent communication skills, both written and oral. - Academic degree in a quantitative discipline (e.g., Mathematical Finance/Statistics, Maths, Physics, Engineering) with a focus on application. Additional Details: Deutsche Bank offers a range of benefits including the best in class leave policy, gender-neutral parental leaves, reimbursement under childcare assistance benefit, sponsorship for industry relevant certifications and education, employee assistance program, comprehensive hospitalization insurance, accident and term life insurance, and complementary health screening for individuals aged 35 and above. About the Company: Deutsche Bank strives for a culture of empowerment, responsibility, commercial thinking, initiative, and collaboration. The company values continuous learning, development, and progression, along with a positive, fair, and inclusive work environment. Visit the company website for more information: [Deutsche Bank Website](https://www.db.com/company/company.htm).,
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posted 1 week ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate Derivatives
  • Total Return Swaps
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Market Risk Measurement
  • Asset Classes
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of Basis Point
  • Yield Curve
  • Parallel Shifts
  • Point Shifts
  • Term Structure Sensitivity
  • Programming Skills
Job Description
As an experienced market risk professional, you will be responsible for measuring market risk within an investment bank or financial institution. Your role will involve previous experience in VaR or Credit Risk, with a strong knowledge of Asset Classes such as Equity, Fixed Income, FX, Commodities, Derivatives, and Structured Products. Key Responsibilities: - Utilize your expertise in Fixed Income and Derivatives, focusing on Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Demonstrate a basic understanding of pricing and valuation for these products. - Apply your knowledge of key risk and profitability concepts, including Probability of Default, Event of Default, Jump to Default, Mark to Market, volatility, Yield curve, and shifts in yield curve. Qualifications Required: - Possess at least 3-8 years of experience in market risk measurement within the financial sector. - Hold a higher degree in finance or a professional qualification such as CFA, FRM, PRIMA. - Have a general understanding of risk issues, investment products, and programming skills. - Exhibit the ability to work effectively in a team, build relationships, and deliver high-quality work under pressure and tight deadlines. - Demonstrate willingness to challenge the status quo and provide alternative approaches. If there are any additional details about the company in the job description, kindly provide them for a more comprehensive understanding of the role.,
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posted 3 weeks ago

Vice President

MUFG Bank, Ltd., New Delhi Branch
experience10 to 14 Yrs
location
All India
skills
  • FX
  • Interest Rate Swaps
  • Options
  • Bloomberg
  • Risk Management
  • Client Engagement
  • Regulatory Compliance
  • Communication Skills
  • Presentation Skills
  • Collaboration
  • Treasury Sales
  • Market Insights
  • Revenue Growth
Job Description
As a Vice President - Treasury Sales for Large Corporates at Mitsubishi UFJ Financial Group (MUFG) in New Delhi, you will play a crucial role in managing relationships with corporate clients, executing derivative solutions, delivering market insights, and driving revenue growth. Here's a breakdown of your role: Role Overview: You will be a part of the Global Markets team in New Delhi, working for MUFG, a leading Japanese bank with a strong presence globally. Your main responsibilities will include managing relationships with large corporates in the Delhi/North India region, focusing on treasury risk management and market opportunities. You will also be expected to independently structure, price, and execute derivative solutions, provide market insights to clients, collaborate with internal partners, and ensure compliance with local and global regulations. Key Responsibilities: - Own and grow relationships with large corporates in the Delhi/North India region, focusing on treasury risk management and market opportunities. - Structure, price, and execute derivative solutions independently using the banks pricing tools and Bloomberg. - Deliver actionable market insights and articulate the banks macro and strategy views to clients. - Collaborate closely with internal partners for end-to-end treasury solutions. - Engage with regional and cross-border teams for client coverage and structured product delivery. - Drive revenue growth through disciplined client coverage, effective structuring, and optimal pricing while maintaining strong risk governance. - Ensure compliance with local and global regulations, understanding the concept of multi-geographical adherences and complying accordingly. Key Requirements: - 10-12 years of experience in Treasury Sales / Markets covering large corporates in the Delhi market. - Strong understanding of FX, interest rate swaps, and options with hands-on pricing and structuring experience. - Proficiency with Bloomberg and bank pricing tools for client quotations and trade execution. - Excellent communication and presentation skills, able to translate complex market views into clear client narratives. - Proven ability to collaborate across internal functions and geographies to deliver client-centric solutions. - Previous exposure to global regulations such as Dodd-Frank, EMIR, and Global UMR for CSA will be an advantage. - MBA / CA / CFA or equivalent qualification preferred. What We Offer: - Opportunity to work with a top-performing Global Markets team in a dynamic, high-impact environment. - Exposure to sophisticated clients that ensure the delivery of top-notch derivative products and advisory engagements. - Collaborative culture with strong regional and global stakeholder interactions. Mitsubishi UFJ Financial Group (MUFG) is an equal opportunity employer that values its employees as key assets fundamental to its long-term growth and success. We are committed to hiring based on merit and organizational fit, regardless of race, religion, or gender.,
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