Job Views:  
822
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Job Code

59793

Senior Manager - Financial Risk

10 - 15 Years.Delhi NCR
Posted 12 years ago
Posted 12 years ago

The Opening is with a Leading Consulting Company.

Following are the details

Key Responsibilities

- Advise Banks & Capital Market Institutions on a wide range of risk management issues like Strategy & Governance, Process Excellence & Integration, Regulatory Reform and Performance Insight & Execution.

- Partner with global deal teams in selling, shaping and solution development of client deals by providing subject matter expertise on risk related topics.

- Liaison with offering development group to shape thought capital around current and emerging risk management topics and contribute to development of Company's Points-of-View on Risk trends and issues.

- Help build risk practice by conducting interviews for recruitment both laterally and through campus.

- Help in training and nurturing talent on risk related topics.

- Support practice development through various support activities like staffing, quality management, capability development and knowledge management etc.

- Build strong relationships with global Risk Management teams, and further develop existing relationships based on mutual benefit and synergies

Experience Required

- At least ten years risk management experience at a Financial Services institution (Commercial bank, investment bank/ broker-dealer, or retail lender), Rating Agency or Professional Services / Risk Advisory with significant exposure to one or more of the following areas:

- Credit and Counterparty Risk

- Market Risk

- AMA modeling/ Operation Risk identification and measurement

- Liquidity Risk Measurement, Reporting and Management

- Risk Regulation & Compliance

- Risk Governance, Strategy and Policy

- Functional design and database modeling for risk management systems and applications

- Familiarity with lending products and/or financial instruments across equity, fixed income, derivatives and securitization space

- Strong understanding of risk regulatory framework of one more of the major economies across globe (i.e. US, EU, etc.). Knowledge of Basel II/ III principles and practice, Dodd Frank, ICAAP, MIFID etc.

- Experience in latest risk technologies like Moody’s Risk Analyst, Bancware, SAS Risk Solutions, QRM, KMV Portfolio Manager, Risk Calc etc.

- Experience in third party risk consulting will be preferred.

Qualifications

- Masters in Business Administration with specialization in risk.

- Strong academic background. Industry certifications such as FRM, PRM, CFA preferred

- Willingness to travel 25-50% of the time

Contact:-
Ankita Kukreja
Mastermind Network
0124 - 4966859
wadhwa.ankita@gmail.com

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Job Views:  
822
Applications:  0
Recruiter Actions:  0

Job Code

59793

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