Risk Analysis, assessment, monitoring and mitigation of the clients trading portfolio across the following asset classes:
- Equities
- Currencies
- Fixed Income Instruments
- Commodities
Role will also involve doing
- Routine work in broking,
- Automation of existing process,
- Risk monitoring of clients,
- Follow up with RM and liquidation of client's position
- Risk evaluation for funding products
- Operational risk assessment in funding or broking
- Evaluation and knowledge of commodities cycle (Harvest, production, mandi related etc- )
Requirements:
1. Min 3-4 years experience in commodities risk
2. MBA would be preferred
Didn’t find the job appropriate? Report this Job