Posted by
Posted in
Banking & Finance
Job Code
1722902

WERE HIRING - MARKET RISK REPORTING
Location: Bangalore
Designation: Consultant / Assistant Manager
Experience: 3-8 Years
Department: Market Risk
ROLE OVERVIEW:
We are looking for professionals with experience in Market Risk / Traded Risk Reporting to support certification, control, analysis, and reporting of traded risks across Global Markets and Treasury activities.
MANDATORY SKILLS:
- Global Markets
- Treasury Activities
- Market Risk / Risk Analysis
- Value at Risk (VaR)
- Stressed VaR (SVaR)
- Stress Testing & Scenarios
- Risk Indicators
- Risk Reporting / MIS Reporting
- Advanced Excel
- VBA
- Data Quality
- Trading Systems
KEY RESPONSIBILITIES:
- Monitor Global Markets and Treasury activities across multiple asset classes
- Consolidate and certify VaR, SVaR, STS, Main Greeks and P&L
- Prepare daily P&L and risk indicator reports
- Highlight significant risk and P&L movements for management review
- Publish daily/weekly P&L breakdown reports for Front Office
- Support daily risk production processes
- Generate statistical data for regular MIS reporting
- Ensure data quality and completeness across trading and risk systems
- Support weekly, monthly and ad-hoc reporting for Senior Management
CANDIDATE PROFILE:
- 3-8 years of relevant experience in Market Risk / Traded Risk / Risk Reporting
- Quantitative background in Finance, Business, Mathematics, Science or Engineering
- Strong understanding of Global Markets and Treasury activities
- Hands-on knowledge of Excel and basic VBA
- SQL knowledge is an added advantage
- Strong analytical, presentation and communication skills
- Detail-oriented with the ability to work independently
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Posted by
Posted in
Banking & Finance
Job Code
1722902