• Strong knowledge and functional experience in support of one or more of the following Asset classes: Foreign Exchange (FX), Fixed Income and Money Market (FI/MM), Interest Rate Derivatives (IRD), FX Derivatives (FXD), Credit Derivatives (CRD), Equities, and Equity Derivatives (EQD), Commodities and Commodity Derivatives (CMD).
• Risk methodologies knowledge (Market, Counterparty Credit, Liquidity).
• Ability to summarize complex ideas into clear and simple concepts.
• Strong proficiency in written and spoken Spanish and English (Portuguese is desirable).
• Strategic mindset. Anticipates future trends and implications accurately by considering the multiple factors involved.
• Customer-oriented, able to identify and effectively communicate the requirements and functionalities needed and offered.
• Able to work effectively with different teams.
• Desirable: Understanding Front-To-Back Business Units as an overall process flow.
• Effective communication.
• Transparency and accountability