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BIV Capital Governance AVP

5.00 to 9.00 Years   Chennai   02 Jan, 2023
Job LocationChennai
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaInvestment Banking / M&ARisk / Underwriting
EmploymentTypeFull-time

Job Description

    Introduction:This role is a mid-entry level role within Risk Information Services (RIS) - Market Risk and Issuer Risk. The holder is expected to handle all the controls and processes required to enable complete and accurate reporting of risk weighted assets (RWAs) and EAD (Exposure at default) for internal and external stakeholders. The ability to explain the market risk movements for various asset classes and impact analysis is also imperative.What will you be doing
    • Collation and production and reporting of management information relating to EAD (Exposure at default) and RWA -Risk Weighted Assets to enable senior management and business line heads to monitor business levels and fluctuations on a daily, weekly and monthly basis.
    • The provision of commentaries and various value added data to facilitate the timely production of the daily, weekly and monthly reporting packs.
    • Assisting others, as necessary, in the production of other externally reportable reports such as CoRep and Pillar 3 reporting.
    • Liaising with other areas of the business globally including Treasury, Product Control, IT, Statutory Reporting, Operations and the Barclays Group Regulatory and Treasury teams to ensure completeness and accuracy of reporting.
    • To consistently meet reporting deadlines and to deliver against overall targets.
    • Working within a team where there will be a requirement to cross train with others for the provision of cover.
    • Ensure completeness of reporting by reconciling the balances used for reporting against the final balance sheet values.
    • Ensure completeness and accuracy of static data through reconciliations and review.
    • Responding to ad hoc queries from the business or other internal stakeholders, ensuring a swift response and compliance with the internal policy around the distribution of sensitive data.
    • Involvement in projects on systems/process updates and testing the implementation of these as necessary.
    • Assist in maintaining controls around manual hand-ins and complex formulas and bring any limitations in current process and controls to the attention of senior management.
    What were looking for:
    • CPA, ACCA, FRM qualification and 5 to 7 years of Risk/Capital Reporting experience
    • Strong analytical, technical and/or statistical skills with proven ability to process large datasets into meaningful information.
    • Strong computing skills in Excel, Access.
    • Experience with Python, VBA, SQL etc
    Skills that will help you in the role:
    • Financial Services industry experience
    • Willing not only to embrace change but to actively look for improvements in current work practices.
    • Knowledge of PRA regulatory capital requirements will be a plus.
    Where will you be working ChennaiInterested candidates mail on hidden_emailPhone number :+91 hidden_mobile8/hidden_mobile

Keyskills :
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