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Analyst - Global Markets, Treasury, Derivative and Risk Management

QuantArt | west bengal, India | Posted June 07, 2026

Position Overview

About the job - Research on Global Markets and, Economy. Various Asset Classes - Research and Strategy on Forex, Commodities, Interest Rates, Bonds - Derivative Pricing and Analysis - Options, Swaps, Structures - Risk Management best practices implementation - Support in hedge deal execution - Data management and analysis - Interact with CFO, CEO, Treasury Managers, Treasury Executives of top corporates. Work experience needed: 1 to 5 years Qualification: BCom, BSc, BBA, Engineering, CA If completed or pursuing CFA or FRM, that can be useful. Job Location: Kolkata Salt Lake Office.

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