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Mutual Fund Manager

1.00 to 6.00 Years   Delhi   20 Feb, 2025
Job LocationDelhi
EducationNot Mentioned
SalaryRs 3.0 - 6 Lakh/Yr
IndustryFinTech
Functional AreaMaintenanceService / Installation / Repair
EmploymentTypeFull-time

Job Description

    • To ensure daily management and reporting relating to Investment risk of all scheme(s) such as market Risk, liquidity Risk, governance risk etc. and other scheme specific risks (Compliance Risk, Fraud Risk, etc.).Responsible for the governance of risk pertaining to operations department including administration risk, technology risk, information security and cyber risk.
    • To ensure implementation of an integrated investment management system across front office, mid office and back office
    • To monitor outliers identified during periodic assessment of outsourced vendors and recommend and monitor implementation
    • To adhere guidelines pertaining to SEBI circular on RMF and relevant principles thereunder including risk identification, risk management, risk reporting (both periodic and escalation of material incident) and corrective actions taken, if any.
    • Responsible for the governance of risks pertaining to Client Service Department
    • To define specific responsibility regarding risk management of key personnel within the Function
    • Responsible for the governance of risks pertaining to Secretarial and Legal
    • To provide inputs to CRO to define risk threshold and risk appetite
    • To define specific responsibility regarding risk management of key personnel within the
    • To provide relevant information to CRO regarding the risk reports
    • To ensure that risk levels are in accordance with the approved risk threshold and risk
    • To ensure adherence with the DoP framework
    • To ensure in respect of all schemes:
      1. Adherence to guidelines pertaining to SEBI circular on RMF and relevant principles thereunder including risk identification, risk management, risk reporting (both periodic and escalation of material incident) and corrective actions taken, if any.
      2. Defining specific responsibility of Fund Managers
      3. Adherence to risk appetite framework for schemes

Keyskills :
mutual fundsmutual fund analysisadvanced excel

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