Wednesday, September 14, 2016

What knowledge should I have for a risk management and risk modeling job at a bank?



I have a masters degree in Econometrics and a undergraduate in Finance I am going soon to start an internship at a bank where I will evaluate risk models and possibly possibly create them aswell and I would like to to know what is the common knowledge to have in this area and what I should know about mathematics and software.


Thank you in advance.




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