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Job Location | Pune |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | BPO / Call Center |
Functional Area | Risk / Underwriting |
EmploymentType | Full-time |
Financial Markets - Associate Program Manager - Risk ManagementThe Ideal Experience Map: Minimum 6 years of experience in business analysis , data management , change , consulting , or process management in risk , preferably within the Investment Banking domain Certified Financial Risk Manager (FRM certification is a must) Roles and Responsibilities: Provide presales support for Risk services in Investment / Private Banking Understanding of systems , delivery lifecycles and delivery methodologies working with global teams; experience with offshoring and outsourcing Ability to work in a dynamic environment and in a global team structure The role requires the candidate to be well organized with an ability to prioritize effectively and multi - task , work independently , and cope with aggressive timelines and deliverables Strong ethics , team player attitude with a mature mind set Excellent communication , listening and interpersonal skills with an executive presence to present and lead client meetings with senior internal and external stakeholders Strong attention to detail and accuracy / timeliness of delivery Effective stakeholder management; interact with a diverse audience from senior management torisk management committees and non - riskforums Manage the process of validating the data feeding the risk systems and ensure timely publication of VaR and other risk measures Analyse risk scenarios and benchmark risk profiles for new products Calculate risk associated , measure value at risk (VAR) , and manage market risk exposures (Delta , Gamma and Vega risks) for derivative strategies , subsequently analyse variances and explain underlying changes Liaise with IT / Change departments to drive improvements in the process and make it more robust and scalable Familiar with FRTB: The Fundamental Review of the Trading Book (FRTB) guidelinesFunctional Skills and Technical Skills: Knowledge and experience in the following concepts and regulations: MTM , Basel II / III , Dodd frank , FRTB , BCBS 239 , Counterparty CR , Risk reporting , VaR / CaR methodology , capital calculations , and potential exposure Probability theory , statistics , econometrics and numerical analysis Advanced working knowledge of the Microsoft Office [including MS Access] suite and macro development and testing in MS - Excel Database Management Process mapping tools (Igrafx , MS Visio)General skills that will boost your eligibility: CFA [charteredfinancial analyst],
Keyskills :
sales net customerrelations datamanagement documentation businessprocessmanagement tradelifecycle baselii lifecycle creditrisk marketrisk risksystems dataanalytics liquidityrisk ediaentertainment