Posted By
Posted in
Banking & Finance
Job Code
1166274
Chief Manager - fixed Income Risk
- Risk Identification, analysis, monitoring & mitigation of risks for Fixe Income Products
- Process risk identification and suggesting risk mitigants.
- Involvement in development and testing of risk management systems
Key Responsibilities :
- Draft risk framework and policies for Treasury & Fixed income business along with monitoring adherence of the same
- Monitoring of fixed income trading and working closely with product team, compliance, and business team to ensure processes are well set within the defined organization policy
- Active monitoring & mitigation of risk in Fixed Income portfolio
- Communication and co-ordination between various stakeholders to highlight the risk & take action wherever possible
- Identification of critical processes that can be automated and working closely with Internal technology team for automation of various risk processes
- Providing risk analytic insight that enhances the investment process
Functional Responsibilities :
- Frame and adhere to internal risk policies and approval matrix for all assessments
- Develop analytical, systems and data management capabilities to support the risk management
- Review of risk management policies including the quantification of our risk appetite through specific risk limits
- Communication with various teams for various requirements of audit and assessment
- In-depth knowledge of fixed income financial instrument and dealing
- Assess exceptions to defined frameworks/policies
- Prepare periodic analysis for reporting to senior authorities
- Process improvement & Automation
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Posted By
Posted in
Banking & Finance
Job Code
1166274