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Market Risk (Product) Analyst

ориентир по рынку
вакансия зп не указана
в среднем 99 527 ₽
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описание

Financial Risk Analytics provides products and solutions that help financial institutions measure and manage market risk, counterparty credit risk, regulatory risk capital, and derivative valuation adjustments. Its solutions combine advanced analytics and technology, including a vectorized pricing library, machine learning, and a scalable Big Data stack.

задачи

  • Assist in executing the product roadmap for the Market Risk solution and ensuring priorities are understood and delivered to a high standard
  • Assist in delivering new product features, communicate with the product team, and clarify priorities
  • Research and design functionality, create feature specifications, coordinate implementation, and prepare documentation
  • Coordinate with data, software, and financial engineering teams on developing, testing, and implementing risk models, ensuring data and analytics are integrated
  • Develop analytical tools and prototypes for new features, using feedback and observation to build product and technical understanding
  • Become a trusted product contact, help ensure each component works end to end, and escalate questions or issues appropriately
  • Support current and prospective clients by responding to product questions and contributing to clear, accurate product information
  • Support the professional services team with PoCs, client onboarding, and production runs
  • Present product capabilities to internal and external stakeholders, gather feedback, answer questions, and share relevant insights with the broader team

требования

  • Interest in financial services, risk management, quantitative finance, or technology
  • Quantitative background in finance, mathematics, economics, physics, computer science, or another technical subject
  • Interest in product design and/or software development
  • Experience using Python, SQL, and/or other programming languages
  • Ability to apply skills and knowledge to defined outputs while maintaining quality and attention to detail
  • Strong communication skills and willingness to ask questions, seek feedback, and build knowledge
  • Collaborative mindset and enthusiasm for building relationships and contributing to team goals
  • Ability to clarify priorities and adapt as team objectives shift
  • Candidates reaching the final interview stage must attend at least one in-person interview, ordinarily at their nearest S&P Global office, before an offer can be made

Будет плюсом:

  • Exposure to market risk concepts, derivatives, valuation, risk models, regulatory capital, or financial analytics; experience with data, analytics, or technology products, ideally in financial services or risk management; curiosity about how financial institutions use risk analytics to support decision-making; proactive learning, including shadowing, observing, and learning from experienced colleagues; commitment to high-quality work, task ownership, and supporting the wider team

условия

  • Health care coverage for mind and body
  • Generous time off
  • Access to career development and learning resources
  • Competitive pay, retirement planning, continuing education, company-matched student loan contributions, and financial wellness programs
  • Family benefits and retail discounts
  • Referral incentive awards

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