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460
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Job Code

1668040

Risk Management Head

Arin Consultancy Private Limited.10 - 15 yrs.Mumbai
Posted 2 weeks ago
Posted 2 weeks ago

About the job


Key Responsibilities:


1. Risk Governance & Framework:


- Establish and maintain a comprehensive risk management policy and framework in line with SEBI (MF) Regulations, AMFI guidelines and industry best practices.


- Develop risk appetite statements and risk tolerance limits approved by the Board of Trustees.


- Ensure implementation of robust risk controls across all functions investment, operations, technology and sales/ distribution.


- Periodically review the adequacy and effectiveness of the risk framework and recommend improvements.


2. Investment & Portfolio Risk Management:


- Independently monitor and report market risk, credit risk, concentration risk and liquidity risk of all schemes.


- Oversee portfolio exposures, sectoral limits, credit ratings and compliance with investment restrictions.


- Evaluate portfolio risk parameters such as duration, beta, tracking error, etc. and flag deviations.


- Conduct stress testing and scenario analysis on portfolios to assess resilience under adverse market conditions.


3. Operational & Enterprise Risk Management:


- Identify and monitor operational, reputational, IT/cyber and process risks across various AMC functions.


- Establish a risk control matrix (RCM) and ensure periodic testing and validation of key controls.


- Coordinate with internal auditors and compliance to ensure early detection and mitigation of risks.


4. Regulatory & Board Reporting:


- Present quarterly risk assessment reports to the Board of Trustees and Compliance Officer.


- Ensure timely escalation of significant risk incidents or breaches to the Board and SEBI, where applicable.


- Participate in the Risk Management Committee and support compliance during regulatory inspections or audits.


5. Coordination & Advisory:


- Act as the nodal point for risk matters between investment, operations, compliance and IT teams.


- Provide risk-based inputs in the design and launch of new schemes or products.


- Advise Fund Managers on prudent risk-adjusted investment decisions and ensure risk culture across the organization.


Qualifications & Experience:


- Post-Graduate in Finance, Economics, Risk Management or related field.


- Professional certifications such as MBA - Finance, CA, CFA, or equivalent preferred.


- Minimum 10-15 years of relevant experience in risk management within mutual funds, banks or financial institutions.


- Thorough understanding of SEBI (Mutual Fund) Regulations, AMFI guidelines and risk management frameworks.


- Strong analytical, quantitative and communication skills with proven leadership capability.


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Posted by

Job Views:  
460
Applications:  109
Recruiter Actions:  0

Job Code

1668040