AVP - Market Risk - Investment Bank (3+)

Written by: MBA Jobs on Friday, 13 April 2012
View all jobs posted by: Michael Page International
Job Code: 52775
Location: Delhi/NCR
 


Discipline - Banking

Subsector - Investment Banking

Location - Delhi NCR

About our Client - Our client is a leading investment bank expanding its presence in India with new roles and business functions being brought in from overseas.

Job Description - Reporting to the VP, Market Risk Reporting & Control you would work in a team to Produce market risk reports and management information for stakeholders in front office, risk, senior management team, group risk and regulators

- Work on reports, production processes and appropriate controls

- Provide quality, accurate and timely risk information to a range of stakeholders both within and external to the organization

- Manage key global stakeholders to ensure reporting requirements are effectively met.

The Successful Candidate -

- You should have 3 to 10 years of experience in a similar background. Experience working with VBA, Bloomberg, Excel and SQL would be needed and a reporting frameworks knowledge would be desirable.

- Bachelors in finance/quantitative discipline is needed.

- Strong team skills, experience in handling projects and effective management of stakeholders along with strong communication skills are needed.

What's on Offer - The role would be a great platform for professional growth with great exposure to global markets.Chance to work with a world leading brand in banking, which is in a stage of expansion in India.

To Apply - Click here to apply

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