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Junior Derivatives Specialist

Poland, Warszawa Employment contract 5000.00 - 5500.00 PLN / Month · Job Posted March 21, 2026
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Job Responsibility

  • Oversee the management of product risks, such as credit limits and settlement risks, by monitoring, analyzing, and reporting the firm's credit exposures across various financial instruments like swaps, options, futures, forwards, prime brokerage and repurchase agreements
  • Manage exceptions to credit limits, analyzing risk exposure, and implementing post-trade risk management processes
  • Additionally, identify and communicate exposures that surpass the company's risk tolerance to senior management and colleagues
  • Stay vigilant for market peculiarities to effectively mitigate credit risks across derivatives and funding products at a transactional level
  • Promptly escalate any issues regarding data accuracy and quality, and proactively seek opportunities to enhance processes, mitigate risks, improve controls, and foster better communication

Requirements

  • 0-1 year of experience in an analytical financial role
  • Understanding of derivatives products (FUTURES, OPTIONS, Hedge FUNDS, MUTUAL FUNDS and etc.) MUST HAVE
  • Bachelor's degree preferred but not required
  • Excellent communication skills/ English C1
  • Basic accounting or financial analysis skills
  • Knowledge of Excel
  • Strong organizational skills
  • Motivated team player with strong organizational skills

What we offer

  • Sports card
  • Life insurance
  • Private medical care
  • Office work with a supportive and positive environment
  • Working for a leading corporation with a stable market position

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