Analysis and Management of Financial Risk, Business Modeling, Financial Theory, Quantitative Finance, Numerical Methods
Financial algorithms, Risk modeling and measurement
Excel-based programming at the Expert level, specialized tools development, process automation
Create and/or analyze Investment Portfolios (pure and mixed)
Use and valuation of derivative instruments, be they Plain Vanilla or Exotics
- Preferred Job Type :
Full Time
- Updated
21-Nov-08