Location: Sandton
The responsibilities include:
- Assisting in financial risk modelling and analysis.
- Working on advanced Excel and Market Data functions.
- Conducting research and analysis of appropriate financial market products.
- Collaborating and refining financial models.
- Utilising mathematical and financial knowledge to assist in present value, simulation engines, and internal rate of return calculations.
- Assisting in economic research, analysis, and preparation of research notes and presentations on financial market topics.
Requirements:
- Honours degree in Mathematics, Finance or a related field.
- Experience or exposure in banking is ideal.
- Financial modelling experience.
- Knowledge in financial market derivatives is advantageous.
Please consider the vacancy application unsuccessful
if you have not had any response in two weeks, . Your details will be kept on our database so we can contact you for any other suitable roles.
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