Description:
Junior Product Risk Specialist – Derivatives & Hedging Focus Are you an analytical thinker with a keen eye for risk management? We are looking for a Junior Product Risk Specialist to support risk assessment and mitigation strategies in a dynamic, fast-paced environment. This role requires a foundational understanding of derivatives and hedging , along with a strong willingness to learn and grow within the field.Key Responsibilities:
- Assist in monitoring and assessing product risk, ensuring compliance with internal policies and regulatory requirements.
- Collaborate with trading, finance, and risk teams to enhance risk management frameworks.
- Support the analysis of market trends, derivatives exposure, and hedging strategies to help mitigate financial risks.
- Contribute to reporting and documentation of risk assessments, ensuring accuracy and clarity.
- Provide insights and recommendations to optimize trading performance and profitability.
What You Bring:
- 1–3 years in product risk, trading, or financial risk management, with exposure to derivatives and hedging .
- Ability to interpret financial data and identify potential risk trends.
- Familiarity with risk assessment tools, financial modeling, and data analysis.
- Ability to perform in a fast-paced, high-pressure environment.
- Strong communication skills and the ability to work effectively with cross-functional teams.
How to Apply:
If you meet the above requirements, please send your resume DIRECTLY to: kmongalo@networkfinance.co.za
For more finance jobs, please visit our website: www.networkrecruitmentinternational.com
If there is no reply within two weeks, please assume that your application for the vacancy was unsuccessful. Your profile will be kept on our database for any other suitable roles / positions. We also invite you to reach out to us to discuss your next finance career opportunity!
Requirements:
- Assist in monitoring and assessing product risk, ensuring compliance with internal policies and regulatory requirements.
- Collaborate with trading, finance, and risk teams to enhance risk management frameworks.
- Support the analysis of market trends, derivatives exposure, and hedging strategies to help mitigate financial risks.
- Contribute to reporting and documentation of risk assessments, ensuring accuracy and clarity.
- Provide insights and recommendations to optimize trading performance and profitability.
- 1–3 years in product risk, trading, or financial risk management, with exposure to derivatives and hedging .
- Ability to interpret financial data and identify potential risk trends.
- Familiarity with risk assessment tools, financial modeling, and data analysis.
- Ability to perform in a fast-paced, high-pressure environment.
- Strong communication skills and the ability to work effectively with cross-functional teams.
17 Mar 2025;
from:
careers24.com