a) Good Capital Market Product Knowledge (Bonds, Derivatives, Swaps, Repos etc ...)
b) Good analytical skill as Business and Data Analyst
c) Experience in writing Business Requirement Documents
d) Experience working on projects related to market risk. Experience with Basel 2.5 IRC implementation is a plus.
e) Understanding of financial products (Bonds, Equity, FX etc.) and their valuation
f) Prior experience of implementing FRTB solution.
g) Good in SQL and Excel. Can write query and aware of basic excel functions