Market Risk Analyst Iii

4 semanas atrás


São Paulo, São Paulo, Brasil Santander Tempo inteiro
Market Risk Analyst III
Country: Brazil
**WHAT YOU WILL BE DOING**
Desafio:
- Transformação do P&L Murex de Tesouraria (Market Making, Energia e Sales)
Atividades:
- Explorar ferramenta de explicação do P&L por fator de Risco;
- Geração de relatórios diários de apuração de resultado;
- Construção de métricas para acompanhamento da qualidade dos dados sistêmicos;
- Interagir com as mesas da tesouraria para acompanhamento das posições e resultados;
- Migração dos processos para Big Data.
- Garantir o valor de mercado do Murex - como componente do P&L - para demais áreas e sistemas do banco;
- Reconciliações com Front Office e Finanças (Gerencial e Contábil)
Requisitos Obrigatorios:
- Ter experiência em riscos de mercado, finanças e afins, e conhecer produtos de tesouraria;
- Inglês ou Espanhol (participação em fóruns e reuniões periódicas com unidades externas);
- Pacote Office avançado (principalmente Excel/VBA);
- Programação avançada em Python e/ou outra linguagem;
Requisitos Desejaveis:
- Conhecimento do sistema Murex
Perfil: Analítico, dinâmico, boa interlocução, protagonista e orientado a resultados.
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