Main Roles/KRAs:
- Identification, analysis and acceptance or mitigation of uncertainty in investment decisions related to our stock trading division. Moreover, to develop a deep understanding of risk management ecosystem.
- The Risk/Investment Manager has to take the advantage of risk management strategies to mitigate the stock markets risks or to take calculated risks. Careful and timely uses of various risk mitigation tools to ensure maximum profits on the regular basis.
- Strong sense of urgency, accountability, ownership and proactively escalates issues / roadblocks to the Management related to buying and selling decisions.
- Optimize the operational processes, systems and efficiency across the Trading Division to save the time and optimal utilisations of the resources including financial and human capital.
- Providing the expert advices to the Management and all the Traders concerning buying and sellings of equity, commodity, intraday, options, future- etc
- Fund management, investment and financial acumen along with capital market industry knowledge and updates are must.
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