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Job Location | Bangalore |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | IT - Software |
Functional Area | Risk / Underwriting |
EmploymentType | Full-time |
Provide supervisory oversight of daily P&L/Risk process and Regional/Global management reportingProvide oversight of daily system to system reconciliations Oversight/Monitor various corporate feeds relating to CIO & Treasury Monitor Market Risk related controls- includes updating/monitoring of risk limits, report clean P&L for VaR back testing, various risk reporting Monitor Credit risk related controls and includes working in close partnership with Credit Risk & reporting teams, produce country risk reporting, monitoring and escalation of collateral valuation differences Contribute to New Business initiatives including active participation to on-board a new product & designing MO work flow, provide analysis/advice around booking strategies & operational procedures Actively run Strategic Re-engineering and global projects involving front/back end systems and closely partner across 3 regions. Provide support for any ad hoc requests and queries from various stakeholders Review current processes, identify opportunities for improving efficiency & controls and delivering tactical/strategic solutions Work in close partnership with Market Risk, Credit Risk, Business Management, Trade support, Financial controllers, VCG, Technology, PMO & other regional MO to ensure adequate controls on overall P&L & Risk numbers Understand & contribute to various control frameworks, i.e. Control Self Assessment (CSA), Sarbanes Oxley (SOX) & Business Control Committees (BCC s) Participate and contribute to firm-wide initiatives which includes global projects on re-engineering risk management & back office system, improvement on reporting analytics on market, credit & country relatedQualifications/Key Skill-SetsDegree Holder major in Finance, Accounting, Risk e.g. CPA, CFA, FRM or other management discipline 8 years or above with top tier banks in Middle Office, Market Risk, Valuation, Finance or Product Control In depth understanding in trade life cycle, P&L explains, Market Risk reporting Strong leadership and management skills, self-starter & can lead and motivate team members Works independently and takes decisions, escalates when appropriate Good communication skills, robust and credible partner Detail oriented, ability to deep dive on processes and improve controls/efficiencies Good derivatives product knowledge with hands on experience in FX, Interest Rate, Fixed income & Treasury products Good understanding of transaction cycle, infrastructure & associated operational and financial processes and controls Strong relationship-building and networking skills Ability to deal with high level of adhoc requests and deliver under pressure Excel/ MS PowerPoint proficiency,
Keyskills :
TreasuryRiskProductControlfinancialcontrolmarketrisknterestrateriskliquidityrisk