University graduate from a reputed institution in financial or economic subject or university graduate in Mathematics, Physics, Engineering or similar. Strong understanding of financial instruments and valuation techniques. Working experience with Fair Value Framework will be an asset. Knowledge of market risk factors. Advanced Excel is a must, knowledge of VBA is preferred, Access & SQL will be an advantage. Excellent analytical skills and a proactive approach to problem solving. Excellent written English and oral communication skills. Excellent interpersonal skills. CFA / FRM qualification (also in progress) will be an asset.