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Morgan Stanley - Associate/Senior Associate - Counterparty Risk

1.00 to 4.00 Years   Mumbai City   03 Aug, 2022
Job LocationMumbai City
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaFinance / Accounts / TaxSales / BD
EmploymentTypeFull-time

Job Description

    Associate /Senior Associate - Counterparty RiskDivision : FID Job Title: Fixed Income Counterparty Risk Location : Mumbai Job Level: Assoc./Sr. Assoc.Department Profile :- The Fixed Income Division is comprised of Interest Rate and Currency Products, Credit Products and Distribution. Professionals in the Division assess and actively manages risk, trade securities, and structure as well as execute innovative transactions in the fast-paced and constantly changing global markets.- The Commodities Division is a market leader across a broad range of commodities markets, with expertise in areas including client risk management, financing solutions and investor products Sales & Trading- From the largest global institutions to innovative new hedge funds, investors come to Morgan Stanley for sales, trading, and market-making services in almost every type of financial instruments including stocks, bonds, derivatives, foreign exchange, and commodities.- Our professionals provide liquidity and content to clients around the world, actively assessing and managing risk, trading securities, and planning and executing transactions in the fast-changing markets. As the needs of our clients become increasingly complex, we often develop customized solutions.Primary Responsibilities :The candidate will work closely with the rest of the team but is expected to be comfortable to lead tasks independently, including the following :- Perform Initial Margin Calculation for all FI products as well as Commodities and Repos- Be point of contact to explain Initial Margin calculation to both internal stakeholders (Sales & Trading) as well as hedge fund clients- Investigate daily margin call disputes and decide when to escalate to Management- Investigate daily settlement fails and decide when to escalate to Management- Actively track and compute the daily stress loss calculations and investigate the material changes. - Participate in LIVE trade approval processes & forums- Participate in client on-boarding committees - Assist in methodology and research related to risk models (e.g. VAR, HiSim)- Represent the Business Unit Risk Management at cross-functional working groups, and engage in extensive project work.- Ad Hoc risk analysis in response to market events, or in response to client related developmentsSkills required :- Masters Degree at Financial Engineering (or similar quantitative subject) - Minimum 2 years experience in a Structuring, Strat, XVA or Credit Risk / Market Risk Analytics team- Expert knowledge of Fixed Income products with a specialisation in Interest rates, including FX and Commodities- Experience of building models for trading and risk management is an added advantage- Excellent interpersonal and communication skills (written and verbal) for effective communication with various teams - Effective time management and organizational skills within a fast-paced environment- Good knowledge of entity types and corporate structures- Highly organized, detail-oriented and thorough;- Strong decision-making, problem solving and analytical skills; ability to cope with pressure and multi-task- Ability to plan, organize and deliver results within tight timeframes- Ability to work collaboratively on group projects and independently on individual assignments;- Mature and professional; comfortable working in an open-floor working environment.- Willing and eager to learn and work with different teams and divisions of the Firm,

Keyskills :
customer relationsinsurancequalitysalesmisfixed income derivativeshedge fundscredit riskmarket riskrisk modelsfixed incomerisk analysis

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