239

JOB VIEWS

61

APPLICATIONS

13

RECRUITER ACTIONS

See how you stand against competition

Pro

View Insights

Job Code

1299327

Assistant Manager - Market Risk - Financial services

caution
Posted 1 year ago

Experience Required:

- Strong understanding and working experience of market risk

- Knowledge of derivatives valuations, VaR, BASEL guidelines

- Understanding of market risk models - VAR, sVAR, IRC, RNIV

- Knowledge of Python

- Good understanding of derivatives products and Market Risk Models

- Conduct quantitative analysis of market data to identify risk factors and trends

- Develop models to evaluate the impact of market risk on portfolios

- Provide technical guidance and expertise on Market Risk Model related matters

- CFA / FRM candidates preferred

Knowledge, skills & experience:

- CA / MBA/ FRM/ CFA in similar and relevant field

- At least 2 years of work experience in a Big4 / Financial services firm in area of internal audit, assurance or market risk management

- Strong writing and presentation skills. Ability to multitask and deliver within the expected timelines

- Strong analytical, planning and organizational skills

- Working knowledge of Python or any other tool

Didn’t find the job appropriate? Report this Job

239

JOB VIEWS

61

APPLICATIONS

13

RECRUITER ACTIONS

See how you stand against competition

Pro

View Insights

Job Code

1299327

UPSKILL YOURSELF

My Learning Centre

Explore CoursesArrow
Apply on the go!

Download the iimjobs app to
apply for jobs anywhere, anytime

apple

Download on

App Store

playStore

Get it on

Google Play

appPromoQr

Scan to Download