Utilize thorough knowledge and understanding of product, process and inherent risk related to the the Latin America markets;
Responsible for preparing analysis and performing critical testing and calculations in support of the LATAM LCT Line of Business;
Produce financial reporting and disclosures;
Calculate valuation adjustments, analyze market depth and liquidity for determination of fair value.
Contribute to month end close and periodic analysis;
Interact with Front Office and support groups.
Core skills and requirements:
At least 3 years of Experience in Finance, Product Control, Market Risk or Middle-Office in Investment Banks;
Deep knowledge of Financial products: FX & IR Derivatives, Bonds and Options;
Understanding of Latin America global markets dynamics and products;
Graduated in Accounting, Business Administration, Economics, Mathematics, Engineering, Physics or correlated areas;
High level of numeracy and proficiency in financial mathematics;
Strong problem solving, analytical and communication skills to make sound and independent judgment and decisions under rapidly changing and often stressful environment;
Fluency in English (written and spoken); Spanish is a plus;
Strong ability in Excel. Alteryx is desirable;
Highly motivated, pro-active, self-starter, multi-tasking and committed to get the job done;
Team player with multicultural sensitivity and analytical mindset over interactions with peers in other countries and divisions.