Job Views:  
1620
Applications:  150
Recruiter Actions:  93

Job Code

479110

Market Risk Reporting Role - Investment Banking Captive

2 - 5 Years.Mumbai
Posted 7 years ago
Posted 7 years ago

Consolidated Market risk reporting opening with an Investment banking captive

We are currently Hiring for Consolidated Market risk reporting for our client

ROLE: ENO

Experience range : 2-5Years

Job Type: Full time permanent role with the Client.

Location : Mumbai

You offer :

- Graduate/ Post-Graduate in Finance/ Statistics/ Economics/ Mathematics; FRM / CFA would be desirable.

- Experience of managing teams and delivering quality output under tight deadlines.

- Strong understanding of Market Risk concepts, calculations and prevalent regulatory guidelines like Basel, FRTB, BSBS 239 etc. Knowledge of individual regulatory specifications like FDSF, Volcker etc. would be beneficial.

- Strong analyst with good Excel skills and good experience in financial markets and Risk management (VAR/ ERC related experience).

- Ability to work independently, manage large teams and deliver under tight deadlines.

- Good communication skills and attention to detail.

- Strong control mindset and analytical skills.

- Ability to quickly understand concepts and breakdown problems.

- Ability to develop relationships with internal clients globally.

Please do revert with your interest and updated resume and the following details

Current Company:
Current Role :
Experience with Market Risk Domain:
Experience with Regulatory Reporting:
Experience with Basel norms:
Experience with Excel:
Certification:
Education:
Current CTC:
Expected CTC:
Notice Period:
Current Location:

Terrin
Allegis Global Solutions

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Job Views:  
1620
Applications:  150
Recruiter Actions:  93

Job Code

479110

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