ASESOR DE SERVICIO CON EXPERIENCIA ATENCIÓN A CLIENTES, CONOCIMIENTO DE COCHES Y REFACCIONES, MANEJO DE GARANTÃAS, CONOCIMIENTO EN EXCEL, RECEPCIÓN Y ENTREGA DE VEHÃCULOS, FACILIDAD PARA COMUNICARSE CON EL CLIENTE Y EXPLICARLE PRESUPUESTO...
construction, optimization, CAPM, multi-factorrisk models, market risk, credit risk, and VaR. Strong analytic, quantitative...We are currently seeking a Risk Analytics Portfolio Management Analyst to join our Client Coverage organization...
), process gaps (ITSM/ITIL) and cultural challenges (people).What will make you successful/or "Your X Factor":Primary focus area... (Financial Services Operations)GRC (Governance, Risk and Compliance)TSM (Telecommunications Service Management)LSD (Legal Service...
. **Analytics**:Shape our industry with powerful analytics**Do you want to help modernize risk and portfolio management... Engine Analytics, a python based platform that enablesfast research-to-market and high-quality Factor Analytics content...
Lugar:
Nuevo Leon | 06/02/2025 18:02:30 PM | Salario: S/. No Especificado | Empresa:
MSCI security work riskfactor. - Responsible of the annual employee income tax withheld taxes reporting. - Assist in liaison...
Lugar:
Nuevo Leon | 06/02/2025 18:02:03 PM | Salario: S/. No Especificado | Empresa:
Steris that enables fast research-to-market and high-quality Factor Analytics content delivery. Model Engine platform is responsible... for producing MSCI's Factor Models among many other valuable factor analytics products. The Software Engineer would work...
following: Modern Portfolio Theory, Equity and Portfolio Construction, Optimization, Cap Asset Pricing models, Multi FactorRisk... Models, Market Risk, Credit Risk and VAR * Deep understanding of international financial institutions and global financial...
and servers world-wide from threats. Reviews, assesses and signoffs on business projects with respect to risk/adherence.... Assesses applications and the associated data flow for risk to sensitive data, systems, or infrastructure. Collaboratively...
to mitigate risks of those products. Responsibilities: Produce daily and weekly market risk reports which monitor factor... and processes for the front office. Devise and improve processes to aggregate factor sensitivity (market risk) and issuer risk...
Portfolio Theory, Equity and Portfolio Construction, Optimization, Cap Asset Pricing models, Multi FactorRisk Models, Market... Risk, Credit Risk and VAR • Deep understanding of international financial institutions and global financial markets...