Posted By
Posted in
Banking & Finance
Job Code
1583274

Job Title: Deputy Manager - Trade and Communication Surveillance
Reports to: Senior Manager - Risk
Department: Risk Management Surveillance
JOB PURPOSE:
To help the organization in establishing, implementing, and overseeing various Risk Management practices and policies. To monitor a firms trading activity using surveillance applications to safeguard the firm against any reputational and/or financial risk.
JOB ROLE:
- Assisting team members with daily reviewing and analyzing of surveillance alerts and/or exception reports. Properly documenting the review and disposition of the exceptions with an appropriate rationale as well as escalating matters with relevant stakeholders if there are any true exceptions.
- Review of various modes of recorded communication, i.e. chats, voice, CCTV etc. used by the investment team and identify any unusual activity and potential risk issues.
- Participating in periodic review of surveillance alerts to ensure optimal quality is being achieved.
- Assisting with the UAT of new system enhancements/Model reviews as appropriate.
- Assisting with the design and implementation of new surveillance alerts as well as refinement of existing ones.
- Gathering and analyzing trades data to assist in the firms response to inquiries received from Exchanges/SEBI or other regulatory bodies.
- Assisting management in their response to inquiries or requests from internal partners (e.g. Internal Audit, compliance etc.)
- Remain updated on developments and changes concerning relevant regulatory regulations.
JOB REQUIREMENTS:
- Relevant trade surveillance experience with a broker/financial institution in business compliance or with a securities regulator.
- Preference will be given to candidates with relevant experience in electronic communication Surveillance.
- Basic understanding and knowledge of trading mechanisms across different financial instruments/markets and applicable market regulations.
- Product knowledge across the various asset class types: Equities, Fixed Income, Derivatives.
- Prior Mutual Fund related experience/Knowledge of Bloomberg system would be an added advantage.
EDUCATIONAL QUALIFICATION & EXPERIENCE:
- 2-3 years of relevant experience.
- MBA Finance/CA/FRM
SKILLS AND QUALITIES:
- Proficiency in the use of MS Excel, Macro Word, PowerPoint etc.
- Strong Analytical skills and attention to detail
- Ability to handle multiple activities and take on additional responsibilities
- Should be strong in verbal & written communication
- Should be timely and accurate in the job
- Should be a team player
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Posted By
Posted in
Banking & Finance
Job Code
1583274