Posted By
Posted in
Banking & Finance
Job Code
169094
Corporate Search is one of India's leading Executive Search and Talent hunt firm with a specialized focus in the multiple sectors
We have the following requirement - in Mumbai in BFSI sector
CA/ MBA Fin degree from Top B Schools like IIM/ISB/Overseas top B Schools like LSE/ Oxford/Wharton/ Kellogs /Harvard etc or premium institute with 15-20 years of experience and handling a similar profile for minimum last 5 years.
- Should be handling Market Risk.
- Capability to handle quantitative risk models.
- Experience in Advance Risk Products - Structured products and Algorithmic Trading will be preferred.
- Should have good communication skills.
- Should be Team Player & Self motivated
- Clarity in Thinking & Analytical.
- Should be sufficiently flexible to adapt to & find solutions in a changing business dynamic.
Role:
- Handle the risk function covering all asset classes - Debt, Equity, Commodities, and Currency
- Responsible for identification, assessment, quantification, monitoring, and management of financial, credit, fraud, liquidity and operational risks
- Devising risk strategy & framework, setting up policies and guidelines for new products or businesses, risk quantification and measuring and enforcement of policies
- Involved and associated with limit structuring and exposure management, new product approvals, system changes, counter-party limit setting-up and monitoring, etc.
- Will be member of various investment and credit committees
- Daily risk monitoring for key risk areas, reporting to GRC
- Regular interaction with businesses for risk identification, assessment and adoption of best risk practices
Relevant candidates interested may apply to with a brief introduction and compensation drawn
Seema Gandhi
Kalpana Gandhi Chhatriwala
CorporateSearch
http://www.linkedin.com/in/kalpanagandhi62
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Posted By
Posted in
Banking & Finance
Job Code
169094