
Quantitative Risk Analyst
1 week ago
Fixed Term Contract, Sydney Based
- Market Risk Model Validation
- Top Tier Australian Bank
**Responsibilities**:
- Design, model, develop and maintain independent market risk benchmark models
- Provide effective challenge to model assumptions, mathematical formulation, and implementation
**Requirements**:
- PHD or Masters degree (or equivalent) in finance, physics, mathematics, statistics, econometrics, or a related discipline
- Strong derivative pricing skills is essential (Risk neutral pricing, stochastic calculus, numerical techniques (finite differences, MonteCarlo simulation, binomial/Trinomial Trees, Numerical integration),
- Coding in C++ / Python)
- Approximately 5 years + experience in Market Risk in a quantitative role within Front Office or Risk
- Ability to break down complex/ technical ideas to non-technical people
If you are interested, please click apply.
BBBH51759_168005816306885
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