Good understanding of Financial market products and their valuation e.g. Derivatives, Bonds etc. Working knowledge of Valuation software like Murex
Strengthen existing risk framework with guidance of ALCO or Top Management for continuous improvement.
Proactive Risk Management and reporting of Trading Book Risk reports to RBI or Board/RMC/ALCO
Improvement in MIS framework and Implementation of updated guidelines on timely basis
Address the queries with satisfactory resolution of queries or comments from various Audits and RBI
Understanding of Trading Book Risk Framework e.g. VaR, NOOP, AGL, Stress testing etc.
Interaction and Query resolutions with multiple teams like Relationship managers, Financial Market, Middle Office, Back office etc.
Job Type: Full-time
Pay: ₹262,852.13 - ₹817,337.25 per year
Work Location: In person
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