Key Duties/Responsibilities:
- Buying
and selling securities and derivatives on behalf of the company.
- Regularly
monitoring portfolios to ensure that they are guideline compliant.
- Search
for information about the required financial instruments (FIs).
- Technical
analysis of identified financial instruments.
- Participate
in the development of risk management plans.
Key Skills/Experience:
- Fluent
Russian/Ukrainian is a must, English – advanced.
- Bachelor’s
degree in Finance, Accounting, Economics, or related field.
- 2+
years trading and technical analysis experience.
- A solid
understanding of financial markets.
- The
ability to work under pressure in a fast-paced environment.
- Experience
in capital markets (NYSE/NASDAQ) would be an advantage.
- Banking
experience is also advantageous.
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