Unison Group

System Analyst - Pricing & Valuation

Unison Group

Singapore · Full Time

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Experience
6+ yrs
Salary
Openings
1
Posted
2 часа назад
Work mode
In office
Education
Master's degree
Resume
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Where you'll work

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Job description

Job Overview

We are seeking a driven risk management expert to spearhead strategic initiatives focused on traded risk management solutions. This role requires a strong grasp of cross-asset derivatives pricing and risks, including Monte Carlo methods, partial differential equation valuations, XVA, and potential future exposure (PFE).

Key Responsibilities

  • Serve as a self-driven professional delivering change solutions for traded risk management.
  • Apply thorough knowledge of derivatives pricing and risk, leveraging techniques such as Monte Carlo simulations and PDE valuation.
  • Engage with technical and non-technical stakeholders effectively to communicate complex concepts.
  • Utilize analytical, problem-solving, synthesizing, and systemic thinking skills to devise robust solutions.
  • Identify, track, and manage project risks, issues, and dependencies, coordinating solutions with sponsors and stakeholders.
  • Influence across organizational levels to maintain alignment on project goals.
  • Lead and implement large-scale, high-availability applications or participate in significant project deployments.
  • Maintain a results-focused approach with strong delivery orientation.
  • Understand and operate within the full software development lifecycle.

Preferred Qualifications

  • Hands-on experience with derivatives valuation and quantitative pricing methodologies.
  • Comprehensive understanding of pricing models for various asset classes and requisite market data.
  • Insight into risk evaluation techniques and related sensitivity analyses.
  • Proficiency or familiarity with programming languages such as Python, C++, or R is beneficial.
  • Strong technical and functional expertise in finance and quantitative methods.

Academic Background

  • Master's degree in Computer Science, Quantitative Finance, or related Finance fields.
  • Professional certifications like CFA or CQF are advantageous but not mandatory.

Minimum education

Master's Degree

How they work

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