風險_市場風險模型管理科科長
TaipeiOn-site
AI Summary
Manages market risk model validation and analysis, establishes risk measurement frameworks for new financial products, and coordinates with overseas branches on financial market measurement issues.
About this role
中國信託商業銀行
Your Career Our Future
【工作內容】
1.市場風險模型驗證分析與管理
2.新金融商品業務風險辨識與衡量制度建立
3.海外分子行金融市場業務衡量議題溝通與處理
【資格條件】
工作經歷要求:5年以上
學歷要求:大學,碩士
科系要求:財工、數學及資工類
擅長工具:C++, Matlab, VBA,
語文條件:英文-精通
【職缺資訊】
薪資待遇:面議
職務屬性:統計精算人員,風險管理人員,金融交易員
上班時段:日班
休假制度:依公司規定
工作地點:台北市南港區
可上班日:一個月內
需求人數:1
管理責任:無
【其他條件】
1.熟PC (Windows Office應用軟體)操作、精通C++ / Matlab/VBA程式語言者
Skills
C++Financial Product Risk MeasurementMarket Risk Model ValidationMatlabStatistical AnalysisVBAWindows Office
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