Societe Generale is looking for Analysts to be part of their Risk Management division. Join the team to work on model validation, valuation risk assessment, and financial data analysis.
Societe Generale: Analyst Postgraduate Degree in Finance/Banking/MBA/CFA/FRM Proficiency in Python, VBA, MS Office Tools (Especially in Excel) Ability to use internal databases and financial pricing libraries Key Responsibilities Reviewing and validating financial valuation models Ensuring model alignment with structured product payoffs Verifying parameter sources and accuracy of market data used Assessing methodologies for valuation adjustments related to models and parameters Identifying and tracking model and valuation risks tied to market operations Location: BangaloreClick Here – Apply before the link expires