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