Join us as an "Equity Derivatives Structuring" at Barclays Equity Derivatives Structuring is the dedicated trading and structuring team within Barclays, responsible…
Date live: 07/04/2025 Business Area: Equities Area of Expertise: Markets Contract: Permanent Reference Code: JR 0000059469 A role in Markets involves trading…
Job Description:About the Role:Grade Level (for internal use): 13The Role: Senior Python DeveloperThe Team: Financial Risk Analytics at S&P Global provides products…
Line of Service Advisory Industry/Sector Not Applicable Specialism SAP Management Level Senior Associate Job Description & Summary At PwC, our people in…
Job Description Job Title - Risk and Compliance Senior Manager S&C GN CFO&EV Management Level: 06 - Senior Manager Location: Gurgaon, Mumbai,…
About MUFG Global Service (MGS) MUFG Bank, Ltd. is Japan's premier bank, with a global network spanning in more than 40 markets.…
Product Control Intern Bangalore and ChennaiJoin us as a Product Control Intern, where you will support and learn about the Bank\'s trading…
Line of Service Advisory Industry/Sector Not Applicable Specialism SAP Management Level Senior Associate Job Description & Summary At PwC, our people in…
Job Summary Strategy Work as a team to deliver on the individual and collective Job Objectives Understand the GCFO pillars and the…
Valuations Specialist Vice President =========================================== Job ID: R0388459 Full/Part Time: Full time Regular/Temporary: Regular Listed: 2025 07 03 Location: Mumbai Position Overview…
Job Description:About the Role:Grade Level (for internal use): 10Role: Sr. Full Stack / ReactJS Software DeveloperThe Team:C&RS (Credit & Risk Solutions) is…
Job DescriptionTrading Operations is a global team supporting Equity Derivatives, Interest Rate, Credit Derivatives (IRCC), Commodities and Collateral. The team supports primarily…
Job Description:About UsAt Bank of America, we are guided by a common purpose to help make financial lives better through the power…
Responsibilities : At least 3 8 years of experience in market risk measurement within an investment bank or other financial institution; previous…