CV Prep for Risk Management

Prateek Yadav

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CV Prep for Risk Management
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3,199
30 mins

During our call, I will assist you in comprehending the key aspects that firms and recruiters seek within risk management profiles. I will provide guidance on optimizing your CV's structure to ensure it's content-rich with pertinent details. Our focus will be on:

  1. Market Risk and Credit Risk Focus: I'll include topics specific to market risk and credit risk, tailoring your CV to emphasize expertise in these domains. For Market Risk, these topics include Derivatives Pricing, IR Modeling, Vol Modeling, Counterparty Credit Risk and FRTB. For Credit Risk, these topics include PD, LGD and EAD Modeling, Scorecard Modeling, Portfolio Behaviour, understanding of IFRS 9 guidelines.
  2. Utilizing Job Description: Your CV will be modified as per the job description, ensuring alignment between your experience and the employer's requirements.
  3. Online Courses: I'll also provide you insights into highlighting relevant online courses that showcase your commitment to ongoing learning and skills development in the field.
  4. Technical Skills: We'll discuss how to emphasize your technical competencies, showcasing proficiency in tools and technologies relevant to risk management. These skills include Python, R, SAS, SQL programming and experience with Bloomberg, Numerix, Murex, Fincad.
  5. Formatting and Word Count: I'll ensure that your CV follows the industry-standard structure. This will include appropriate theme, formatting and word count for each section.


By the end of our call, you'll have a well-structured CV as per the required job description which will reflect your risk management experience and skills. Your CV will stand out to potential employers and the chances of your success will be increased multi-fold.