Responsibilities:
(i) Responsible for enterprise wide risk management for treasury, encompassing market, credit and operational risk
(ii) Responsible for the quantification and management of markets risk parameters in line with the approved policies and Group guidelines.
(iii) Assist in establishing risk management processes with special focus on internal controls and group guidelines in this respect.
(iv) Set process and team to ensure day to day risk reporting activities and other periodic tasks.
(v) Enhance the risk management capabilities by developing tools and methodologies which would assist in better controls and management of risk.
(vi) Responsible for increased automation of the business risk group.
(viii) Thorough understanding of the risk management analytics, treasury and derivative products
(ix) Manage risk for Algo trading desk
(x) sound knowledge of fixed income securities and forex and other treasury products
Looking for someone with strong experience in Market risk
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