Description
Role pricing, executing, and risk managing structured products across FX, rates, and credit, with responsibilities in client pricing, P&L and Greeks exposure management, hedging strategy development, new product procedures, portfolio risk monitoring, and regulatory compliance. The position requires a bachelor’s degree or above, preferably in Finance or a business-related discipline, along with at least 8 years of financial industry experience covering structured products and strong knowledge of exotic option pricing, model calibration, and volatility surfaces.
