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9
Applications:  6
Recruiter Actions:  3

Job Code

1654005

Assistant General Manager - Risk Analytics

Peoplenomic Consulting Pvt Ltd.13 - 20 yrs.Mumbai
Posted today
Posted today

Roles & Responsibilities:

- Implement comprehensive risk management policies aligned with SEBI and global CCP standards.

- Establish effective risk identification, measurement, and control systems across all risk domains (credit, market, operational, liquidity) in line with the Policy.

- Ensure timely risk reporting to RMC, the Board, SEBI, and other stake holders.

- Oversee design and effectiveness of risk models, including back-testing and scenario analysis.

- Coordinate with clearing members, ISF, MIIs, and regulators on risk-related matters.

- Track and analyse equity, currency, and bond market trends, trading patterns, volatility, and macroeconomic factors impacting clearing activities.

- Identify emerging risks and opportunities related to market movements, regulatory changes, and competitor actions.

- Monitor regulatory compliance and identify potential breaches impacting clearing operations.

- Identify emerging technologies and trends with potential applications for the clearing corporation.

- Research new products, services, and market opportunities.

- Prepare timely and insightful reports on market intelligence findings for senior management and relevant departments.

- Collaborate with internal teams to inform strategic decision-making.

- Analyse clearing and settlement data to identify patterns and trends in market activity.

Key Skills:

- Deep understanding of CCP operations, risk models, and regulatory frameworks.

- Strong quantitative skills for risk modelling, stress testing, and scenario analysis.

- Expertise in margin systems, default waterfall structures, and collateral management.

- Familiarity with systems and tools used in risk surveillance and financial analytics.

- Strong understanding of financial markets, clearing operations, and risk management.

Experience & Qualification:

- Postgraduate degree in Engineering, Finance, Economics, Statistics, or related field.

- Professional certifications like FRM, PRM, CFA, or CA are highly desirable.

- Minimum 13 years of relevant experience, with at least 10 years in risk management roles in financial market infrastructure (FMI), preferably in a CCP, clearing house, or exchange.

- Proven experience in managing enterprise risk at a leadership level with regulatory engagement.

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Posted by

Job Views:  
9
Applications:  6
Recruiter Actions:  3

Job Code

1654005

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