Valuation Risk Controller
- Recruiter
- Morgan Stanley
- Location
- London, UK
- Salary
- Not disclosed
- Posted
- 23 Nov 2022
- Closes
- 08 Dec 2022
- Ref
- 3225722
- Approved employers
- Approved employer
- Contract type
- Permanent
- Hours
- Full time
- Experience level
- Manager
Description
About us:
Morgan Stanley provides a superior foundation for building a professional career - a place to learn, grow and achieve. You will be exposed to a truly international and multi-cultural environment that appreciates and respects who you are as a person.
We offer:
- Work in the Finance department of one of the world's top tier Financial Institutions and gain first-hand insight into the business
- The opportunity to work with various financial products
- As being part of a global team, active involvement in firm-wide valuation projects and initiatives
- A competitive salary and eligibility for annual bonus
- Open minded and welcoming environment, where your ideas are taken seriously
- Continued professional development based on your career interests
Team Profile:
Morgan Stanley Valuation Control provide an independent valuation assessment across the entire spectrum of financial instruments, ranging from vanilla products to the most complex structured and derivative transactions. This process involves the certification of models and their valuation methodologies, testing for adherence to such methodologies, evaluating internal valuation marks against external benchmarks, identification, and resolution of valuation discrepancies, and communicating a valuation assessment to senior trading and Finance management.
The team is also involved in the continuous enhancements of the valuation control infrastructure with a view towards global and cross-product standardization.
You will:
- Work with a wide-range of Interest and FX Rates products
- Be responsible for the monthly independent valuation of a financial asset's global portfolio using external data sources and internal models
- Prepare summaries on review results for senior finance executives and the trading desks
- Review valuation and risk models, work closely with model developers
- Be responsible for enhancing and streamlining existing working processes
- Understand global financial markets, follow market movements and understand impact on the business
- Be involved in project work as required on new systems and functionality enhancements
Qualifications
You have:
- Relevant experience in fixed income/valuation control / risk management/model development
- Strong analytical/quantitative skills with an understanding of fixed income products; able to analyse a portfolio and provide reviews highlighting key risks
- Strong academics, with preference for finance or a quantitative discipline such as financial engineering, mathematics, physics, engineering or other technical fields
- Ability to challenge the valuation methodologies proposed by the Desk Strategists
- Willingness to adapt to new challenges in a dynamic environment with shifting priorities
- Ability to develop strong internal client relationships
- Ability to work effectively as a member of a team or independently
- Strong technical skills with Excel
- Language proficiency
Morgan Stanley is an equal opportunities employer. We work to provide a supportive and inclusive environment where all individuals can maximise their full potential. Our skilled and creative workforce is comprised of individuals drawn from a broad cross section of the global communities in which we operate and who reflect a variety of backgrounds, talents, perspectives, and experiences. Our strong commitment to a culture of inclusion is evident through our constant focus on recruiting, developing, and advancing individuals based on their skills and talents.
For further information, and to apply, please visit our website via the “Apply” button below.
Similar jobs
-
New
-
New
-
New