Similar jobs
Posted: 16 Aug 2017
Salary: Negotiable
Location: Cambodia, Bătdâmbâng
At least 7 years of experience providing strategic and technical advice to governments on all areas...
Posted: 16 Aug 2017
Salary: Negotiable
Location: Cambodia, Bătdâmbâng
Bachelor degree on economic development sector or any other relevant field At least 5 years experie...
Posted: 16 Aug 2017
Salary: Negotiable
Location: Tanzania, Dar es Salaam
1. Must possess a Bachelor Degree/Advanced Diploma in Finance, Commerce, Accounting, Banking or rel...
Posted: 16 Aug 2017
Salary: Negotiable
Location: Tanzania, Dar es Salaam
Must possess a Bachelor Degree/Advanced Diploma in Business Administration, Economics, Finance, Acc...
Posted: 16 Aug 2017
Salary: Negotiable
Location: Tanzania, Dar es Salaam
1. Must possess a Master's Degree in Business Administration, Finance, Economics or related field f...
0 views
(Associate) Risk Officer,
Back
Posted: 13 Jul 2017 14:13
Deadline: 08 Aug 2017
Category: Management
Location: North America , USA
Employment: Full-Time
Experience: From 2 year(s)
Education: Bachelor
Salary: Negotiable
Employer: International Finance Corporation
About Company: Our investment and advice can be tailored to a client’s specific needs, and in ways that add value. Our ability to attract other investors introduces our clients to new sources of capital and better ways of doing business.
Email: info@ifc.com
Contact name: md
File: Download
Requirements
Advanced degree in Finance, Business or related field or equivalent with a minimum of 5 years of experience related to financial analysis of fixed income and derivatives.
Knowledge of types of fixed income and derivative product types including swaps, sovereign bonds, inflation linked securities and securitized products (ABS, CMBS, RMBS).
Knowledge of market risk measurement analytic techniques including value at risk, stress testing, scenario analysis and option-adjusted risk analysis.
Experience in working with personnel in senior roles in an analytical capability.
Conditions
n/a
Responsibilities
Advanced degree in Finance, Business or related field or equivalent with a minimum of 5 years of experience related to financial analysis of fixed income and derivatives.
Knowledge of types of fixed income and derivative product types including swaps, sovereign bonds, inflation linked securities and securitized products (ABS, CMBS, RMBS).
Knowledge of market risk measurement analytic techniques including value at risk, stress testing, scenario analysis and option-adjusted risk analysis.
Experience in working with personnel in senior roles in an analytical capability.
Coopera teWith Us »
We are looking for partners all over the world to work with bizcyclone.com Interested persons and companies please contact us on email - Details >>