Unlock your potential with PwC as a Financial Instruments Valuation and Market Risk Manager. Lead valuation projects and provide strategic risk management insights in a agile team environment.
As a key member of the Financial Services Risk & Regulatory team, you'll take charge of complex financial instrument valuations and model validations. Your insights will drive risk management and advisory services, primarily focused on market and liquidity risks, enhancing our clients' financial strategies. This role emphasizes collaboration, technical skill development, and the implementation of cutting-edge GenAI solutions.
Key Responsibilities:
• Lead financial instruments valuation including debt and derivatives
• Assist clients with risk model development and validation
• Advise on risk management and hedging strategies
• Conduct market research on valuation methodologies
• Support client presentations and proposals
Requirements:
• Relevant experience in financial risk management
• Robust programming skills in MATLAB, Python, R
• Experience with modeling various financial risks
• Academic background in quantitative discipline
• Robust communication skills for diverse audiences
Elevate your career by leveraging complex valuation and risk management expertise at PwC.
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📌 Manager Of Financial Instruments Valuation Ontario
🏢 PwC South Africa
📍 Ontario
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