Posted By
Posted in
Banking & Finance
Job Code
932964
- Graduate/post graduate in engineering, mathematics/statistic/economics/MBA or related fields to demonstrate quantitative skills and interest in finance/risk.
- Candidates without MBA/economics masters need to demonstrate interest in finance/risk through atleast level2 in CFA/FRM/ 0r 6+ Actuarial papers or any other relevant risk qualification.
- Strong MS Office knowledge with an emphasis on MS Excel
- Strong analysis skills (both quantitative and qualitative) and attention to detail..
- Understanding of Asset risk (rates, equities, FX etc.), credit risk and its impact on portfolio. Understanding of insurance liabilities risk will be useful.
- You need to communicate with various owners of risk, finance and investment and understand the changes in the risk environment.
- Prepare various reports for different risk committee. Detailed review of risk numbers, financial position of the legal entity.
- Perform management tasks including pulling together committee packs, tracking actions and compiling minutes from meetings of different risk committee.
- Working on ad-hoc reports and analysis as asked by management/regulators.
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Posted By
Posted in
Banking & Finance
Job Code
932964