Mind-Diák Szövetkezet
Responsible for controlling, analyzing and reporting the financial performance of our Sales, Trading, Investment Banking and Corporate Lending Businesses. The roles include understanding of the trading strategies including the products (such as equity, FX, commodities, credit, rates) hedging, pricing, funding, risk management, and regulatory implications.
Prepares statistical and prudential reports for the local regulators in various EMEA countries. Calculates capital adequacy figures under Basel 3 and reports the Balance Sheet, the Income Statement and their breakdowns according to the rules of their local regulators.
Budapest XIII.