Posted By
Posted in
Banking & Finance
Job Code
1208049
Job Role and Responsibilities:
- This role is responsible for making all the decisions on risk management issues that impact the strategic direction of the company.
- Provide analytical support to leverage business within the ambit of managed risk.
- Develop risk-related plans, and policies and formulate strategies to comply with the regulation and mitigate risks.
- To design, develop, and implement risk management systems to minimize risk and fraud incidences and time to time evaluating and updating mechanisms.
- Exhibits business process knowledge and provides solutions for business progress. Adapt and initiates change in the organization.
- Oversee, and successfully run the risk management function of the org Group with all exchanges across all segments.
- Developing strategies to work on funds and exposure distribution management for branches, sub-brokers and clients.
- Identifying areas for fund exposure and extending limits to encourage high business volume resulting in high revenue generation, keeping in mind risk areas.
- Ensure that all penalties are avoided in F&O & commodity segments.
- Take immediate actions for managing requisite margin money with all exchanges during trading hours based on indications from E- protector - exchange surveillance system.
- Developing and mentoring team members for knowledge and skill enhancement.
Qualification and Experience:
Master's Degree MBA Or CS or CA
12+ years of experience in relevant areas of Credit and Operational Risk from Stock Broking or Securities background.
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Posted By
Posted in
Banking & Finance
Job Code
1208049