
- Product Manager with hands-on experience in risk management within capital markets or brokerage environments
Location: Bangalore
Employment Type: Full-Time
Role Overview:
- We are looking for a Product Manager with hands-on experience in risk management within capital markets or brokerage environments.
- This role is focused on strengthening our risk management systems-tools that are critical to monitoring exposure, maintaining regulatory compliance, and safeguarding market integrity.
- You will work closely with customers, internal stakeholders, and development teams to ensure our platform continues to deliver best-in-class risk controls that are scalable, compliant, and deeply aligned with capital market dynamics.
Key Responsibilities:
- Lead Risk Product Strategy: Define, own, and evolve the roadmap for risk management tools-spanning real-time exposure checks, position limits, margin monitoring, risk dashboards, and exception handling systems.
- Domain-Centric Product Development: Apply deep domain knowledge of capital markets and brokerage operations to shape system capabilities, user journeys, and feature designs that reflect real-world needs.
- Cross-Functional Collaboration: Be the bridge between business (risk officers, trading desks, compliance), technical teams (developers, architects, QA), and external stakeholders (clients, vendors).
- Lifecycle Ownership: Drive the full product lifecycle from discovery, documentation, and prioritization to delivery, deployment, and feedback loops.
- Regulatory Alignment: Partner with internal compliance teams and stay informed on SEBI, and other capital market regulations to ensure all risk features remain audit-ready and compliant.
- Technical Understanding: Work closely with engineering teams and understand how systems are built, integrated, and scaled across trading and post-trade ecosystems.
- Customer-Centric Execution: Engage regularly with client risk and trading teams to gather insights, validate product direction, and maintain alignment with their operational risk goals.
- Analytics and Feedback: Use data, metrics, and direct feedback to assess the effectiveness of risk features and drive continuous improvement.
What We're Looking For:
- Risk Domain Experience: 2-5 years of experience in capital markets or brokerage risk management (RMS/OEMS platforms, risk surveillance, exposure monitoring, or trading controls).
- Product Management Experience: Proven success in managing complex product roadmaps, ideally in B2B or FinTech environments.
- Regulatory Familiarity: Strong understanding of capital market regulatory requirements and their impact on risk systems.
- Tech Fluency: Able to comfortably engage with developers on system architecture, APIs, data flows, and platform dependencies.
- Strong Communicator: Excellent written and verbal communication skills to effectively manage stakeholders and articulate product trade-offs.
- Analytical Thinker: Strong problem-solving skills with the ability to simplify complex use cases into structured, actionable requirements.
- Self-Driven: Highly motivated, disciplined, and accountable-able to thrive in fast-paced, high-impact environments.
Preferred Qualifications:
- Experience working with risk engines or brokerage RMS/OEMS systems.
- Exposure to market surveillance, margining systems, or credit risk control platforms.
- Understanding of SEBI regulatory frameworks
Didn’t find the job appropriate? Report this Job