Risk Management
Location: Mumbai
Company - Leading Investment Bank
Experience - 7+ years in Risk (Must)
Qualification - IIT/IIM/MBA(Top tier institute)
Please share your cv's if it matches all the requirements.
Job scope
Risk Management team is looking for a Senior professional:
- Develop comprehensive set of risk management policies and a risk appetite strategy to guide MC activities
- Develop a Reporting Framework to aggregate and monitor on-going risk across the asset classes of MC
- Risk Monitoring and Analytics to manage risk of both Client and the Bank across the products
- Developing the framework to determine and implement the "risk appetite" allocated to the Clearing activities.
Direct Responsibilities
- Cross Asset Class Stress Testing for Cleared and OTC Trades
- Identify Client Netting Sets for cross-margining and underlying Risk
- Set up and run a Limit Monitoring System
- Developing portfolio and counterparty-specific risk analytics (sensitivity, scenario analysis, stress testing and LGD estimates
- Support initiatives to implement a new Risk IT architecture
Candidate Profile
- Directly related experience in a Risk, Derivative trading/support or prime broker role
- Experience in managing regulatory capital and have a familiarity with derivatives trading, bank regulation and a working understanding of the related accounting frameworks
- An understanding of financial products and their market liquidity
- Experience working for an institution with a global footprint
- A working knowledge managing contingent credit risk and stress testing
- An understanding of and a working familiarity with regulatory capital management within a complex legal entity structure
- Demonstrated management and leadership experience
- Ability and experience to organize and lead across different time zones.
- Strong communication and coordination skills
Please share your profiles on megha141286@gmail.com
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