...risk management and regulatory standards. Key Responsibilities Design, build, and optimize ultra-low-latency trading systems for spot and derivatives markets. Enhance core exchange components includin...
...risk, liquidation, depeg risk, credit, and operational risk principles in automated trading environments. Demonstrated ability to bridge quantitative, technical, and operational perspectives. Excellen...
...risk exposures Analyze market developments and news in relation to volatility and option pricing Collaborate with other traders, quantitative and risk teams Analyze trading performances and contribute...
...risk frameworks. You’ll work across domains such as Fraud, Financial Crime, Compliance, Risk and Onboarding, supporting strategic and operational goals with data‑driven insights. You’ll be expected to...
...analysis in subsidiary banking business for large/medium sized Japanese Corporates. Required knowledge and experience in managing credit risks, including but not limited to understanding for risks for...
...risky. To the point due diligence can help mitigate these risks as well as highlight opportunities to create value and make a transaction successful. Furthermore, financial due diligence is an essenti...
...risk management tooling (Interest Rate Risk, Liquidity Risk, IFRS9, Credit Risk, ESG etc.) with different software tools and vendor solutions. Implement new risk/regulatory requirements in the Risk Ma...
...Quantitative Finance or equivalent Experience with Matlab or Python (we are happy to train you further in SQL and Python) Strong analytical, quantitative and problem-solving skills Genuine interest in...
...Risk & Control Managers, ook werkt aan je eigen professionele ontwikkeling? Word nu Eerstelijns Risk & Control Manager bij a.s.r! Dit ga je doen als Risk & Control Manager bij a.s.r. je ondersteunt he...
...analysis as you will provide deeper insights into the market dynamics of the energy transition. This position requires a visionary approach, smart thinking, a passion for numbers, and deep-dive analys...
...management, or finance is a plus. 3+ years of experience in investment management. Strong background in financial analysis, deal structuring, and commercial negotiations. Strong understanding of finan...
...risk manager role. As Risk and Opportunity Manager you will be pivotal in managing and mitigating risks throughout the project lifecycle. You will lead the end-to-end risk analysis, ensuring that both...
...&A sector, preferably in IT; You have affinity with Software/IT companies or would like to learn all about them; You are a real team player who is dedicated and hardworking but also knows how to have ...
...& Operations organizations to innovate using new technologies and lay the foundation for continued success and growth. Knowledge (and intellectual curiosity) in areas such as SD-WAN, SASE, cloud conne...
...analysis, customer research, macroeconomic forecasting and portfolio optimization. Review and manage deal documents to identify critical business issues and risks relating to a proposed transaction. P...