Market Risk Manager - Macro, Analyst
Morgan Stanley · mumbai, India
risk managementdata analysispythonsqlfinancequantitativeexcelproblem-solvingboth
Job Description
The role involves independent identification, analysis, reporting, and escalation of market risk exposures. Responsibilities include deal analysis, risk coverage across EMEA Rates and FXEM businesses, and conducting data analysis using SQL, Python, and Excel.
Qualifications
Bachelor’s degree in Finance, Economics, Mathematics or Statistics. Experience in risk management and/or quantitative field preferred.
Skills Required
- risk management
- data analysis
- python
- sql
- finance
- quantitative
- excel
- problem-solving
Location
City: mumbai · Country: India