Description
- Must have a Masters Degree in Economics, Finance or Financial Quantitative Analysis.
- Technical experience in SQL, VB and Python.
- Knowledge or experience with trading products such as: Futures, Options, Indexes, CDS, CDO, FRAs, SWAPs, SWAPTIONs, CAPs/FLOORs.
- Knowledge of Financial Risk Management: Credit Risk Model, Value at Risk.
- Knowledge of Interest Rates, Credit Spreads, Bond Pricing
- Must have strong analytical skills, be organized, detail oriented and skilled in handling multiple priorities with tight deadlines in a fast-paced environment.
If your background matches this job description and you are looking to take your career to the next level then email your resume with a description of what your current work environment has been. Qualified candidates can expect a call back within 48 hours.
To find out more about Huxley Associates please visit www.huxley.com