Equity Derivatives Analyst

3 weeks ago


London, Greater London, United Kingdom ING Group Full time
Job Description Summary
As a member of our Trading Risk Management department, you will play a critical role in ensuring effective market risk control and analysis for our Equity Derivatives team. With a strong background in quantitative fields and experience in Trading, Risk Management, or Product Control, you will be responsible for monitoring market risk exposure, analysing trading strategies, and producing detailed reports. Your excellent analytical skills, strong communication abilities, and flexibility to adapt to changing requirements will enable you to succeed in this challenging role. If you're motivated to specialise in equity derivatives and committed to delivering high-quality results, this opportunity is perfect for you.

Responsibilities
- Monitor and analyse market risk exposure for the Equity Derivatives desk
- Analyse trading strategies and develop recommendations to improve risk management
- Produce detailed reports on market risk exposure and trading performance
- Collaborate with Front Office to ensure alignment between trading strategies and risk management goals
- Develop and maintain relationships with internal stakeholders to ensure effective communication and collaboration

Requirements
- Bachelor's or Master's degree in a quantitative field (e.g., finance, mathematics, engineering)
- 3-5 years of experience in Trading, Risk Management, or Product Control
- Strong analytical and problem-solving skills
- Excellent communication and interpersonal skills
- Ability to work effectively in a team environment
- Familiarity with risk management principles and practices

What We Offer
- Competitive salary of approximately €60,000 - €75,000 per annum
- Comprehensive benefits package, including health insurance, pension scheme, and annual leave entitlement
- Opportunities for professional growth and development
- Collaborative and innovative work environment
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