MORGAN STANLEY FRANCE Salaire

Note de l'employeur
basée sur 0 évaluations
6 avis au total
  Paris
61 RUE DE MONCEAU, 75008 PARIS 8
Téléphone:  +33 1 47 20 85 49
SIREN: 420318206
Note de l'employeur
basée sur 0 évaluations
6 avis au total

Les salaires sur les positions chez MORGAN STANLEY FRANCE

MORGAN STANLEY FRANCE recrute pour des postes:

risk manager

Exigences

  • role Description
  • the individual will need to be able to articulate their logic and implement risk decisions within their remit
  • the Fixed Income Division is comprised of Interest Rate and Currency Products, Credit Products and Distribution
  • the ETRM group are now looking for a self-starting, articulate, ethically minded, control focused individual with the ability to apply existing knowledge and experience to this specialised area
  • ideally, the candidate would have a background in and understanding of electronic trading of Fixed Income based products and must have the ability to stay calm, clear and measured under pressure
  • as the needs of our clients become increasingly complex, we often develop customized solutions
  • role Summary
  • ability to recognize and manage conflicting priorities/expectations across multiple stakeholders

Responsabilité

  • technical e-Trading reviews
  • the Global Limit Manager system which provides pre-trade controls, owning the system and responsible for monitoring on a real-time basis
  • ETRM is responsible for
  • leading new products approval process
  • review and approval of electronic trading platform implementation
  • vice President
  • JOB LEVEL: Vice President

analyste financier

Type de contrat

  • contrat à durée indéterminée Contrat travail

Horaires de travail

  • 35H Horaires normaux

Expérience

  • 1 an

Exigences

  • fiscalité
  • veille concurrentielle
  • veille informationnelle
  • réaliser une étude de marché
  • réaliser un modèle de prévision
  • il/elle devra avoir une expérience d'un an minimum en Economie, Analyse et Gestion auprès d'un Établissement Bancaire ou d'un Cabinet de Gestion

Rémunération

  • annuel de 75000,00 Euros à 75000,00 Euros sur 12 mois

trader

Exigences

  • you will have an understanding of theoretical pricing models and knowledge of market products and their risks
  • the Fixed Income Division is comprised of Interest Rate and Currency Products, Credit Products and Distribution
  • you will have curiosity and willingness to go beyond the basic textbook models to find trade ideas and arbitrage channels
  • you will have an interest in data and how to tackle diverse datasets in innovative ways
  • you will have an entrepreneurial mindset and possess practical problem-solving skills with a great attention to detail
  • gain a good understanding of markets, products and the financial industry
  • you are a Master or PHD student in subjects such as Economics, Mathematics, Financial Mathematics, Physics, Engineering, Quantitative Finance or Computer Science or alike
  • you can analyse and interpret complex information quickly and accurately