Bachelor's degree in Finance, Economics, or a related field., Strong analytical skills and proficiency in risk management tools., Experience with equity markets and financial instruments is preferred., Excellent communication and teamwork abilities..
Key responsibilities:
Monitor and analyze market risk exposures related to equity portfolios.
Prepare risk reports and present findings to senior management.
Collaborate with trading and investment teams to assess risk strategies.
Assist in the development of risk management frameworks and policies.
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Morgan Stanley (NYSE: MS) is a leading global financial services firm providing a wide range of investment banking, securities, wealth management and investment management services. With offices in 42 countries, our firm's employees serve clients worldwide including corporations, governments, institutions and individuals.
We are committed to maintaining the first-class service and high standard of excellence that have always defined the firm and everything we do is guided by our five core values: Do the right thing, put clients first, lead with exceptional ideas, commit to diversity and inclusion, and give back.