Posted By
Posted in
Banking & Finance
Job Code
1498712
About AMINA:
AMINA India is a wholly owned subsidiary of AMINA Bank AG, a FINMA licensed Swiss Bank focused on cryptocurrencies and digital assets. AMINA provides custody, trading, credit and investment products on cryptocurrencies and digital assets to institutional and professional investors. AMINA Bank is Headquartered in Zug, with presence in Mumbai, Abu Dhabi, Hong Kong and Singapore.
AMINA India acts as a virtual extension of the bank supporting activities spanning digital assets research, investment solutions, trading & liquidity management, risk management and more recently mid/back-office and IT operations.
About Role:
AMINA is seeking a Risk Manager to join our global team. The successful candidate will be responsible for monitoring, analyzing, developing, and reporting on market, counterparty, and credit risks in accordance with our risk management policies and procedures. The candidate will bring excellent quantitative and analytical skills, along with the ability to apply these skills across a wide range of topics, instruments and exposures.
In this function, you will be responsible for the following:
- Report end-of-day market, and counterparty risks versus limits for AMINA's trading and banking books.
- Monitor, analyze, and comment on changes in exposures and risk levels.
- Collaborate with various stakeholders to identify and understand hidden sources of risk that could evolve into financial and non-financial risks for the bank.
- Ensure data quality by reconciling risk engine data with other upstream and downstream systems.
- Work on ad hoc risk projects, including stress testing and scenario analysis.
- Contribute to the ongoing development and implementation of the market risk framework
- Automate tools and workflows and support the configuration of the bank's risk software/engine.
- Conduct user acceptance testing (UAT) for enhancements to current systems and processes or migration to new systems.
- Produce status reports and dashboards that provide an overview of the bank's risk exposures.
- Document procedures and control checklists.
- Act as a backup Credit Risk Manager, closely monitoring key trigger levels in the credit book and instructing the trading team on proactive risk mitigation actions.
For you to become part of AMINA's journey, we require the following set of experience:
- Min 4 years of experience
- MBA / Engineer from Tier 1 schools; FRM or CFA would be a plus
- Understanding of derivatives, complex structured products and crypto currencies would be a plus
- Advanced Excel/VBA Skills and Intermediate Python skills
- Experience with stress testing and VaR calculation
- Hands-on experience on Bloomberg terminal
- Working experience with risk management and business intelligence softwares (Numerix, Power BI, etc.)
- Regulatory knowledge would be a plus
- Good time management and Interpersonal skills to be able to communicate internally or externally and at all levels and should be a team player.
- Ability to work under tight deadlines and fast-paced environment
- Experience at working in global teams
- Should be highly analytical and with a self-driven and detail-oriented approach
If you are passionate about risk management, eager to learn, and ready to contribute to our organization's success, we encourage you to apply. Please submit your resume and a cover letter detailing your relevant experience and why you are a great fit for this role.
We owe our exponential growth to our innovative and collaborative team spirit and talented workforce. Every voice counts as we are always committed to learning from diverse perspectives and backgrounds because our people make the difference at AMINA Bank. Regardless of your age, gender, belief, and background, at AMINA EVERYONE (E) is welcome!
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Posted By
Posted in
Banking & Finance
Job Code
1498712