BA Capital Markets
Listed on 2026-09-28
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Finance & Banking
Capital Markets, Banking & Finance, Financial Analyst, Risk Manager/Analyst
Project description
We are looking for Analyst with Capital Markets experience to join the G10 Rates Risk Technology Team that is developing real time risk system. The application serves a wide variety of stakeholders such as Traders, Risk Managers and Financial Controllers and its mission is to provide accurate and timely valuations of trades and their sensitivity to market factors. The types of project undertaken by the team ranges from architecture decisions, regulatory driven, business process automation, intraday risk, to large scale risk and valuation impacting changes.
This is a challenging and exciting opportunity to work within G10 Rates Risk Technology, cooperating with multiple trading desks, market risk managers and financial controllers to develop this strategically important platform.
- - gathering business requirements from Traders and internal officers- creating JIRAs for developers- validating Risk discrepancies during UAT cycles
- - Capital Markets experience. Understanding of Derivatives (preferably Rates)- 6+ years of experience in analysis
- Understanding of Financial Markets
- Strong communication skills, oral and written
- Capital Market Risk
- Java, Python, C# knowledge
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