regulatory-capital-jobs-in-mysore, Mysore

180 Regulatory Capital Jobs nearby Mysore

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posted 2 months ago

Manager - PMO - Capital Market

HIRINGHOUSE TECHNOLOGIES PVT LTD
experience5 to 9 Yrs
location
Karnataka
skills
  • Program Management
  • Project Management
  • Capital Market
  • Global Banking
Job Description
Role Overview: As a Business Manager supporting the Regulatory and Control Change Team for a complex global Markets portfolio, your main responsibility will be to ensure effective management of financials, resources, and governance. You will act as a trusted advisor to Program Stakeholders and Sponsors, overseeing budgeting, forecasting, and delivery of business objectives. Key Responsibilities: - Define and communicate program objectives clearly with stakeholders. - Establish strong partnerships with Finance, IT, and business teams. - Maintain relationships with senior stakeholders globally and within MSS Transformation. - Coordinate with Program Managers and contribute to cross-stream reporting. - Apply rigorous program management standards for prioritization and decision-making. - Provide accurate financial reporting and effectively manage budgets, costs, and benefits realization. - Ensure compliance with global banking standards. - Manage risks, issues, dependencies, and track progress effectively. - Lead resource planning, promote team collaboration, and manage performance effectively. - Foster Group values, teamwork, and engagement across the program. Qualifications & Experience: - Strong background in financial and business management. - Years of experience in Capital Market domain. - Global banking exposure is preferred. Additional Company Details: The company offers full-time permanent job roles with work locations in Bangalore, Hyderabad, and Pune. The work is required to be carried out in person.,
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posted 2 months ago

Lawyer

Angel and Genie
experience1 to 5 Yrs
location
Karnataka
skills
  • Venture Capital
  • Due Diligence
  • Negotiation
  • Compliance
  • Regulatory Matters
  • Corporate Law
  • Mergers
  • Acquisitions MA
  • Legal Support
  • Drafting Transaction Documents
Job Description
Role Overview: As a Lawyer with 1-3 years PQE (considering below 1 year if exceptional), preferably from a law firm with relevant experience, you will be required to work in Bangalore office. This role is not remote and requires your physical presence in the office. Your specialization will be in Mergers and Acquisitions (M&A) and Venture Capital, providing comprehensive legal support in both transactional areas. Key Responsibilities: - Conduct due diligences. - Negotiate and draft transaction documents such as share subscription, shareholders agreement, share purchase agreement, etc. - Ensure compliance and provide advice on regulatory matters like companies act, FEMA, etc. - Collaborate with clients and stakeholders to facilitate closure of transactions, addressing legal complexities in M&A and venture capital deals. - Utilize strong analytical skills, drafting skills, soft-skills for client interactions, knowledge of corporate law, and ability to navigate the dynamic landscape of mergers, acquisitions, and venture capital investments. Qualifications Required: - 1-3 years of PQE, considering exceptional candidates below 1 year. - Specialization in Mergers and Acquisitions (M&A) and Venture Capital. - Strong analytical and drafting skills. - Knowledge of corporate law and regulatory matters. - Ability to effectively collaborate with clients and stakeholders. Please note: No additional details of the company were provided in the job description.,
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posted 2 days ago

Vice President, Quality Assurance

Jobs via eFinancialCareers
experience10 to 14 Yrs
location
Bangalore, Karnataka
skills
  • Quality Assurance
  • Internal Audit
  • Finance
  • Liquidity
  • Capital Management
  • Credit Risk
  • Regulatory Requirements
  • Data Analytics
  • IT General Controls
  • Operations
  • Regulatory Remediation
Job Description
**Role Overview:** As a Quality Assurance Manager for Financial Risk Audit, Vice President at State Street in Bangalore, India, you will be responsible for examining and evaluating the effectiveness, efficiency, and compliance of Internal Audit activities in financial risk audit. You will lead projects independently and collaborate with team members and Audit Department members. This role is crucial for ensuring the quality of Internal Audit projects and compliance with regulatory requirements. **Key Responsibilities:** - Execute Quality Assurance reviews of Internal Audit projects to challenge the scope and conclusions, assess adherence to audit methodology and best practices, and ensure sufficiency of risk coverage. - Provide quality assurance of regulatory remediation validation in financial risk audit area. - Assess compliance of global Audit practices with applicable regulations and monitor changes in industry and regulatory requirements. - Develop and enhance the quality assurance and improvement program aligned with best practices. - Lead targeted QA reviews, assist with policy and methodology matters, conduct regulatory self-assessments, and provide training based on quality reviews. - Manage relationships with Audit senior stakeholders, advise on audit best practices, and collaborate with team members for continuous improvement. - Measure and analyze Corporate Audit performance, support the development of the local audit function, and participate in Division-wide initiatives. **Qualifications Required:** - Bachelor's degree required; master's degree is a plus. - 10+ years of internal audit experience in a complex financial services environment. - Relevant qualifications such as CPA, CIA, CISA are preferred. - Excellent understanding of audit practices, methodology, and IIA professional standards. - Strong skills in Finance, Liquidity, Treasury, Capital Management, and Credit Risk. - Technical skills like IT, Data Analytics are encouraged. **About State Street:** State Street is a leading custodian bank, asset manager, and asset intelligence company globally. With a focus on technology and innovation, State Street has been a significant player in the financial services industry for over two centuries. The company provides investment servicing, data analytics, research, trading, and management services to institutional clients. If you are a candidate who values diversity, innovation, data-driven decisions, and teamwork, and have a background in internal audit in financial services, you could be a great fit for the Quality Assurance Manager role at State Street.,
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posted 1 month ago
experience6 to 10 Yrs
location
Karnataka
skills
  • Regulatory Requirements
  • Client Service
  • Risk Management
  • Financial Markets
  • Interpersonal Skills
  • Communication Skills
  • Administration
  • Accounting
  • Finance
  • Valuations
  • Capital Markets
  • Custody
  • Project Management
  • JIRA
  • Power BI
  • Collateral Documentation
  • Margining Activities
  • Credit Support Annexes
  • Global Master Repurchase Agreements
  • ISDA Master Agreements
  • Derivatives Products
  • Collateral Management Process
  • SelfManagement
  • Motivation
  • Client Service
  • Quality
Job Description
Role Overview: You are being sought to join Northern Trust's Collateral Documentation Team as an Operations Consultant. Your primary responsibility will be to oversee end-to-end documentation processes supporting collateral and margining activities across derivatives, repo, and mortgage-backed securities. This role will involve ensuring agreements such as Credit Support Annexes (CSAs), Global Master Repurchase Agreements (GMRAs), and ISDA master agreements are accurately documented, maintained, and aligned with internal policies and regulatory requirements. Additionally, you will be administering core oversight and governance processes globally, acting as the first point of contact for urgent client queries and collaborating closely with Collateral Change Teams on various projects. Key Responsibilities: - Review and manage documentation related to margining, including CSAs, GMRAs, ISDA Master Agreements, and other collateral agreements. - Coordinate with Client, Credit Risk, and Transition teams to onboard new accounts and execute new margin agreements. - Ensure documentation compliance with regulatory requirements such as EMIR, Dodd-Frank, and Uncleared Margin Rules (UMR). - Provide high-quality client service, managing expectations, and delivering on objectives effectively. - Assist in internal and external audits or regulatory examinations related to margin documentation. - Identify gaps and potential enhancements in business processes for automation. - Build effective relationships across the Derivatives practice for process improvements and governance strengthening. - Collaborate with Change and IT stakeholders on Book of Work Projects to drive the agenda forward. - Provide technical and thought leadership to the global practice. Qualifications Required: - Deep working knowledge of ISDA/CSA terms and uncleared-margin regulation across major jurisdictions; legal qualification not required. - Extensive experience in financial markets, Derivatives products, global markets cut-offs, and market settlement. - Ability to manage a team working 24*5 and flexibility to work in any shift. - Strong interpersonal skills, communication skills, self-management abilities, motivation, client service orientation, and quality focus. - Graduate in Accounting/Economics with additional qualifications preferred (e.g., CA/CS/CWA/CFA/MBA). - Minimum of 6 years of experience in related industries (Derivatives operations, Accounting, Finance, Valuations, Capital markets, Custody). - Proven experience in the financial sector, ideally in a Derivatives Collateral Management or risk-related role. - Excellent organizational skills, ability to prioritize multiple deliverables, work independently with minimum supervision, and attention to detail. - Experience in using project software like JIRA, Power BI would be an added advantage. Company Details (if available in the JD): Northern Trust is a globally recognized financial institution with over 130 years of experience and more than 22,000 partners. The company prides itself on providing innovative financial services and guidance to successful individuals, families, and institutions while upholding principles of service, expertise, and integrity. Northern Trust encourages movement within the organization, accessibility to senior leaders, and a commitment to assisting the communities it serves. If you are a Northern Trust partner, you can expect to be part of a flexible and collaborative work culture that values inclusivity and offers opportunities for career growth.,
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posted 2 months ago
experience7 to 11 Yrs
location
Karnataka
skills
  • Fund Accounting
  • Investor Reporting
  • Financial Reporting
  • Regulatory Reporting
  • Cash Management
  • Financial Modelling
  • IFRS
  • US GAAP
  • Private Equity
  • Venture Capital
  • Asset Management
  • Team Management
  • Analytical Skills
  • Excel
  • PowerPoint
  • Risk Management
  • Bank Reconciliations
  • Performance Fee Calculations
  • Investment Valuations
  • Lux GAAP
Job Description
As a Fund Accounting Manager- PQE, your role will primarily involve the following responsibilities: - Lead and support the oversight and delivery of the monthly/quarterly financial, investor, and regulatory reporting. - Support the annual financial statement review and manage the audit process, ensuring team delivery in line with KPIs. - Interact with Fund Administrators to ensure accuracy and timeliness of financial and investor reporting. - Review monthly bank reconciliations and invoices in adherence with firm-wide and Fund-specific policies. - Assist in monitoring compliance of the Fund LPA and side letter agreements. - Lead designated Fund cash and liquidity management, review performance fee calculations, and formulate responses to investor queries. - Support in developing processes and controls in India COE and lead ad-hoc projects for continuous improvement. - Oversee a team of up to 6 Fund Accountants, providing direction, guidance, and training. Key Requirements/ Qualifications: - CA, ACCA, CPA, CMA, or masters degree in finance/accounting/business with at least 10+ PQE in Fund Administration, Private Equity & Venture Capital, or asset management. - Proven experience in Private Equity/Alternative Asset Industry of 7+ years with strong knowledge of private fund structures and reporting requirements. - Advanced Excel skills, ability to meet deadlines, solve problems analytically, and manage a team effectively. - Desirable qualifications include strong technical knowledge of IFRS, US GAAP, Lux GAAP, understanding of financial instruments, carry structures, and waterfalls. Personal Attributes: - Highly driven, motivated, and a formidable team player with leadership skills. - Excellent time management, organizational skills, and communication abilities. - Desirable attributes include a technical mindset, positive attitude, ability to deliver under pressure, and a commercial approach to tasks. Please let me know if you need more information or clarification.,
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posted 2 months ago

Treasury Analyst

Wells Fargo
experience2 to 6 Yrs
location
Karnataka
skills
  • Funding
  • Capital management
  • Regulatory requirements
  • Data quality
  • Internal Audit
  • Risk Management
  • Compliance
  • Treasury experience
  • Liquidity risk management
  • Asset
  • liability management
  • Financial performance management
  • Reporting
  • analytics
  • Model Governance
  • Shift timing management
Job Description
Role Overview: As a Treasury Analyst at Wells Fargo, you will be responsible for managing and supporting global treasury activities. This includes overseeing funding, liquidity risk management, asset and liability management, capital management, financial performance management, and providing advisory on treasury finance risk. You will also be in charge of complex reporting and analytics on treasury finance metrics, ensuring accuracy in recurring deliverables, and compliance with various treasury risk management regulatory requirements. Collaboration with internal and external stakeholders will be essential, along with making recommendations to more experienced group members and management. Additionally, you will interact with internal customers, receive direction from leaders, and exercise independent judgment while developing your knowledge in function, policies, procedures, and compliance requirements. Key Responsibilities: - Manage and support global treasury activities - Monitor and evaluate global market conditions - Provide advisory on treasury finance risk - Perform complex reporting and analytics on treasury finance metrics - Ensure accuracy in recurring deliverables - Collaborate with internal and external stakeholders - Make recommendations to more experienced group members and management - Interact with internal customers - Exercise independent judgment while developing knowledge in function, policies, procedures, and compliance requirements Qualifications Required: - 2+ years of Treasury experience, or equivalent demonstrated through work experience, training, military experience, or education - Bachelor's/Master's degree Additional Details: Wells Fargo values equal opportunity and emphasizes building strong customer relationships while maintaining a risk mitigating and compliance-driven culture. Employees are expected to execute all applicable risk programs and adhere to Wells Fargo policies and procedures. Proactive monitoring, governance, risk identification, and escalation are crucial, as well as making sound risk decisions in line with the business unit's risk appetite and all risk and compliance program requirements. Please note that applications for employment at Wells Fargo are encouraged from all qualified candidates, including women, persons with disabilities, aboriginal peoples, and visible minorities. Accommodation for applicants with disabilities is available upon request during the recruitment process. Wells Fargo maintains a drug-free workplace and prohibits third-party recordings during the recruiting and hiring process.,
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posted 2 months ago
experience8 to 12 Yrs
location
Bangalore, Karnataka
skills
  • Business Development
  • Client Acquisition
  • Market Intelligence
  • Relationship Management
  • Financial Structuring
  • Advisory
  • Investment Banking
  • Capital Markets
  • Market Trends
  • Financial Insights
  • Transaction Execution
  • Real Estate Finance
  • Analytical Capabilities
  • Regulatory Frameworks
  • Leadership Presence
Job Description
You are invited to join our team as a dynamic and experienced finance professional in Bangalore's real estate ecosystem. In this high-impact middle management role, you will be instrumental in driving business development and transaction execution for fund-raising, M&A, and debt advisory mandates. **Key Responsibilities:** - **Business Development & Client Acquisition** - Identify and secure new business opportunities in fund raising, M&A, and debt advisory. - Utilize your strong network with senior management of leading Bangalore-based real estate developers. - Act as a trusted advisor to clients, offering strategic financial insights and innovative solutions. - **Transaction Execution** - Lead end-to-end execution of capital market mandates, including deal origination, structuring, due diligence, and closure. - Coordinate with internal teams, clients, investors, and external stakeholders for seamless execution. - **Market Intelligence & Strategy** - Monitor market trends, investor appetite, and sectoral developments to identify emerging opportunities and risks. - Provide strategic inputs to shape the firm's positioning in the real estate finance domain. - **Relationship Management** - Build and nurture long-term relationships with developers, investors, financial institutions, and advisors. - Represent the firm as a subject matter expert in industry events and forums. - **Financial Structuring & Advisory** - Design innovative and customized financial structures to create value and mitigate risk. - Evaluate capital-raising alternatives and develop optimal strategies aligned with client objectives. **Educational Qualifications:** - CA / MBA (Finance) / CFA - mandatory. - Additional certifications in Real Estate Finance or Investment Banking will be an advantage. **Desired Experience:** - Minimum 8 years of strong experience in real estate finance, investment banking, or capital markets. - Proven track record in fund raising, debt syndication, M&A transactions, or structured finance. - Well-established network within the Bangalore real estate developer and investor community. **Key Skills & Attributes:** - Strong financial acumen and analytical capabilities. - Excellent relationship management, communication, and negotiation skills. - Strategic thinker with a solution-oriented mindset. - Sound understanding of regulatory frameworks and market trends. - Leadership presence and ability to work in a fast-paced, entrepreneurial setup. **Why MGB:** Join us at MGB and experience: - **Innovative Environment:** Be part of a team that's always ahead of the curve, embracing new ideas and technologies. - **Impactful Work:** Engage in projects that create a tangible impact on the Bangalore real estate market and beyond. - **Growth Opportunities:** Your professional development is our priority - grow with us as we expand and reach new heights. - **Collaborative Culture:** Work in a supportive and collaborative environment where your contributions are valued and recognized.,
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posted 2 months ago
experience12 to 16 Yrs
location
Karnataka
skills
  • Financial Reporting
  • Accounting
  • Compliance
  • IFRS
  • Internal Controls
  • Risk Management
  • Governance
  • Financial Audits
  • Working Capital Management
  • Cash Flow Management
  • SEBI Regulations
  • Cost Optimization
  • Taxation
  • Regulatory Reporting
  • Stakeholder Management
  • INDAS
  • Financial Risk Assessment
  • RBI Regulations
Job Description
As a Financial Controller, your role involves overseeing and managing the financial reporting, accounting, and compliance functions to ensure alignment with regulatory requirements. You will be responsible for ensuring the integrity of financial statements and adherence to IFRS/IND-AS and other applicable accounting standards. Your key responsibilities include: - Developing and implementing internal controls, risk management frameworks, and governance policies. - Leading financial audits and liaising with external and internal auditors for compliance. - Optimizing working capital management, cash flow, and financial risk assessment. - Providing financial insights to the leadership team to enhance operational efficiency and business performance. - Ensuring compliance with SEBI, RBI, and other statutory regulations. - Collaborating with cross-functional teams for cost optimization, taxation, and regulatory reporting. To qualify for this role, you must meet the following requirements: - Chartered Accountant (CA) qualification is mandatory. - Minimum of 12 years of experience in financial controllership roles. - Prior experience in a listed company is preferred. - Strong knowledge of IND-AS, IFRS, taxation, and regulatory frameworks. - Experience in the EPC, Manufacturing, or Renewables sector is preferred. - Demonstrated expertise in financial planning, reporting, compliance, and governance. - Proven ability to manage audits, internal controls, and risk management. - Excellent leadership, communication, and stakeholder management skills. This position offers an opportunity to work in a challenging environment where you can leverage your financial expertise to drive operational efficiency and business performance.,
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posted 1 week ago
experience2 to 6 Yrs
location
Karnataka
skills
  • Legal Research
  • Legal Writing
  • Analytical Skills
  • Statutory Interpretation
  • MS Excel
  • MS Word
  • Communication Skills
  • Collaboration
  • Organizational Skills
  • Attention to Details
  • English Proficiency
  • Regulatory Knowledge
  • Multitasking
Job Description
As a Regulatory Research & Monitoring attorney at EY, you will have the opportunity to work on various compliance projects, gaining exposure to the regulatory landscape of different countries across multiple areas of law. **Key Responsibilities:** - Understand the underlying issues of a project. - Follow a step-by-step process to research the issues and present findings in the desired format. - Interpret statutes and regulations accurately. - Apply yourself to understanding case law. - Be thorough, meticulous, and detail-oriented. - Ensure on-time delivery of client deliverables. - Attend mandatory training and certification courses. - Cooperate with team members and act as a team player. - Escalate project-specific issues promptly. - Be organized, efficient, and handle assigned responsibilities quickly and accurately. - Report back to seniors on assignment status. - Actively participate in team, department, and company meetings and professional development programs. **Qualifications Required:** - Degree in Law - 2-4 years of experience - Professional proficiency in English with in-depth knowledge of language rules, style, punctuation, and grammar. - Excellent legal research, writing, and organizational skills. - Ability to identify and interpret applicable statutes and regulations. - Strong analytical and logical skills with attention to detail. - Ability to understand instructions for legal research and follow established methodologies. **Additional Details:** EY aims to create a better working world by providing value for clients, people, society, and the planet while building trust in capital markets. EY teams work across various services in assurance, consulting, tax, strategy, and transactions, utilizing data, AI, and advanced technology to address pressing issues. With a globally connected network, EY offers services in more than 150 countries and territories, fostering a culture of innovation and continuous learning.,
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posted 2 weeks ago
experience5 to 10 Yrs
location
Karnataka
skills
  • Financial Planning
  • Budgeting
  • Forecasting
  • Financial Modelling
  • Profitability Analysis
  • Scenario Planning
  • Accounting Operations
  • MIS Reporting
  • Internal Controls
  • Regulatory Compliance
  • Working Capital Management
  • Treasury Operations
  • Stakeholder Management
  • Audits
  • Fund Flow Planning
  • Financial Feasibility
  • CAPEX Proposals
  • Financial Automation Tools
  • ERP Systems
Job Description
As an Associate Vice President (AVP) Finance at our organization, you will play a crucial role in shaping the financial strategy, overseeing financial operations, and ensuring compliance with regulatory frameworks. Your expertise in financial management, analytical skills, and leadership abilities will be key to your success in this role. Key Responsibilities: - Drive financial planning, budgeting, and forecasting processes to support strategic decision-making. - Provide strategic insights to senior leadership based on long-term financial modeling, profitability analysis, and scenario planning. - Oversee end-to-end accounting operations, including month-end/year-end closing and MIS reporting. - Ensure accurate and timely preparation of financial statements such as P&L, Balance Sheet, Cash Flow, and management reports. - Improve internal controls and financial processes to enhance operational efficiency. - Ensure compliance with statutory requirements under Companies Act, Income Tax, GST, FEMA, and other applicable laws. - Coordinate with internal & external auditors for quarterly and annual audits and manage financial risk. - Lead working capital management, fund flow planning, and treasury operations. - Assess investments, financial feasibility for new projects, and CAPEX proposals. - Manage and mentor finance teams across accounts, compliance, and FP&A to establish best practices and drive continuous process improvements. Qualifications Required: - Qualified Chartered Accountant (CA) or CPA with 5-10 years of experience in Finance & Accounts, Corporate Finance, FP&A, or Compliance. - Strong technical knowledge and proven experience in corporate finance, controllership, or FP&A roles. - Understanding of accounting standards (Ind AS/IFRS) and proficiency in financial automation tools and ERP systems (SAP/Oracle/NetSuite). - Excellent leadership, communication, stakeholder management skills, and high attention to detail with strong analytical and problem-solving abilities. - Ability to work in a fast-paced, dynamic environment with experience in leading multi-functional finance teams. This job offers a challenging opportunity for experienced finance professionals to lead the financial strategy of the organization and drive operational excellence.,
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posted 1 week ago
experience10 to 18 Yrs
location
Karnataka
skills
  • Financial planning
  • Budgeting
  • Compliance
  • Risk management
  • Financial operations
  • Reporting
  • Cash flow management
  • Working capital management
  • Cost control
  • Auditing
  • Regulatory compliance
  • Leadership
  • Communication
  • Strategic inputs
Job Description
As a General Manager - Finance (CA-qualified professional) in Bangalore, your role will involve financial planning, budgeting, compliance, risk management, and providing strategic inputs to management. Key Responsibilities: - Oversee financial operations, reporting, and compliance. - Manage cash flow, working capital, and cost control. - Liaise with auditors, banks, and regulatory bodies. - Lead and mentor the finance team. Requirements: - CA with 18+ years of industry experience. - Strong knowledge of financial regulations, taxation, and corporate laws. - Excellent leadership and communication skills. In this role, you will be leading the finance function and playing a crucial role in the financial strategy of the company. Your expertise in financial regulations, taxation, and corporate laws will be instrumental in ensuring compliance and effective financial management. Your strong leadership and communication skills will be essential in leading and mentoring the finance team towards achieving the company's financial goals. This is a full-time, permanent position based in Bangalore City, Karnataka, requiring in-person work.,
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posted 1 week ago
experience6 to 12 Yrs
location
Karnataka
skills
  • SAP Finance
  • TRM
  • Cash Management
  • Risk Management
  • InHouse Cash
  • Financial Instruments
  • FX
  • Interest Rate Risk Management
  • Analysis
  • Communication
  • Stakeholder Engagement
  • Functional Specifications
  • Debt Investment Management
  • SAP S4HANA
  • Market Data Integration
  • Hedge Management
  • Regulatory Standards
  • SAP Integration
  • Debt Capital Markets
  • FSCM Components
  • Cash
  • Liquidity Management
  • Trading Platforms Integration
  • Market Data Feeds Integration
  • Business Requirements Gathering
  • Business Blueprint Documents
  • User Manual Preparation
Job Description
Role Overview: As a member of the team at Capgemini, you will lead the implementation and optimization of SAP TRM modules. Your role will involve collaborating with finance and treasury teams to design and configure treasury processes integrated with SAP S/4HANA. You will manage financial instruments, market data integration, and hedge management in compliance with regulatory standards. Additionally, you will be responsible for ensuring accurate reporting, audit readiness, and continuous improvement of treasury operations. Your contribution will be crucial in leading initiatives to develop overall TRM transformation and architecture strategy in partnership with multiple stakeholders. Key Responsibilities: - Lead the implementation and optimization of SAP TRM modules including Cash Management, Risk Management, Debt & Investment Management, and In-House Cash - Collaborate with finance and treasury teams to design and configure end-to-end treasury processes integrated with SAP S/4HANA - Manage financial instruments, market data integration, and hedge management in compliance with regulatory standards - Ensure accurate reporting, audit readiness, and continuous improvement of treasury operations - Lead initiatives in partnership with multiple stakeholders to develop overall TRM transformation and architecture strategy Qualifications Required: - 6-12 years of experience in SAP Finance with a focus on TRM - Hands-on experience in the implementation and support activities of SAP's Treasury and Risk Management solutions - Strong understanding of cash management, FX, Debt capital markets, and interest rate risk management - Experience in SAP integration with trading platforms and market data feeds - Excellent analytical, communication, and stakeholder engagement skills - Experience in gathering business requirements and preparation of business blueprint documents Additional Details: Capgemini is a global business and technology transformation partner, known for helping organizations accelerate their transition to a digital and sustainable world. With a diverse team of over 340,000 members in more than 50 countries, Capgemini offers comprehensive wellness benefits, internal career opportunities, and the chance to work on cutting-edge projects in tech and engineering. Trusted by clients for over 55 years, Capgemini delivers end-to-end services and solutions leveraging AI, cloud, data, and industry expertise to address a wide range of business needs.,
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posted 1 month ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Capital Markets
  • Trading Systems
  • Regulatory Compliance
  • Equities
  • Derivatives
  • Commodities
  • Risk Management
  • Program Execution
  • API Integrations
  • Agile Execution
Job Description
Role Overview: As a Technical Program Manager at 5paisa, you will play a pivotal role in driving critical initiatives across product, technology, QA, and operations. Your responsibility will be to ensure seamless execution of projects that directly impact how lakhs of users experience the trading platforms. The role demands a strong understanding of capital markets, trading systems, and program execution, along with the ability to manage multiple stakeholders and deliver outcomes at speed and scale. Key Responsibilities: - Manage the end-to-end execution of programs across product, design, QA, and operations teams. - Define and track program milestones, deliverables, and KPIs aligned with business and compliance goals. - Identify dependencies, manage timelines, and ensure smooth coordination across teams. - Maintain clear visibility into project status through regular reporting and reviews. - Demonstrate a strong understanding of equities, derivatives, commodities, and regulatory compliance. - Collaborate with product and design teams to enhance trading platform features and user experience. - Work closely with QA to ensure high-quality releases of web and mobile trading platforms. - Coordinate with operations to streamline processes, enhance automation, and improve brokerage workflows. - Ensure compliance with SEBI, NSE, BSE, and MCX norms throughout execution. - Drive execution of initiatives related to OMS/RMS enhancements, algo trading, and API integrations. - Coordinate closely with tech teams to ensure smooth integration between frontend platforms and backend systems. - Support delivery of scalable and reliable trading solutions across mobile and web platforms. - Identify inefficiencies and work with stakeholders to implement automation and process improvements. - Support risk assessment and compliance alignment across all technical programs. - Ensure delivery processes are efficient, repeatable, and audit-ready. - Own multiple complex programs and ensure on-time, high-quality delivery. - Drive Agile execution practices, sprint planning, and retrospective improvements. - Proactively flag and mitigate project risks or delivery blockers. Qualifications Required: - Bachelor's/masters degree in engineering (Computer Science, IT, or related fields) is mandatory. - 5-8 years of experience managing complex programs, with deep expertise in Capital Markets. - Proven success in leading cross-functional delivery involving trading platforms, APIs, OMS/RMS, or backend trading systems. - Strong knowledge of market infrastructure and regulatory frameworks. - Ability to manage up, down, and sideways - working directly with business heads, CXOs, and engineers alike. - Certifications in Agile, SAFe, PMP, or Lean are a strong plus.,
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posted 3 weeks ago

Lead Business Analyst - IT

Societe Generale Global Solution Centre
experience6 to 10 Yrs
location
Karnataka
skills
  • Capital markets
  • Investment banking
  • Risk management
  • Business analysis
  • Requirements gathering
  • Change management
  • Functional Specifications
  • User Stories
  • Design
  • Solutioning
  • Presentation skills
  • Credit risk computation
  • Regulatory risk metrics
  • Functional specification
  • Agile project implementations
  • Reporting skills
Job Description
As a Business Analyst with 6+ years of experience in Capital markets and Risk management, you will play a crucial role in ensuring project requirements are delivered with acceptable quality and completed on time. Your strong understanding of risk management on Credit risk, along with exposure to functional implementation of topics like Credit risk computation and management of regulatory risk metrics, will be highly valued. Key Responsibilities: - Strong understanding of Capital markets, Investment banking domain, and risk management - Exposure to Credit risk computation and management of regulatory risk metrics is highly desired - Autonomously handle Business analysis scope of work including requirements gathering, scope validation, drafting of functional specification, and ensuring business signoff on requirements - Support the team on both delivery and production, raising and addressing impediments proactively - Build collaborative working style and good stakeholder connect with all stakeholders - Contribute to users change management by working on Functional Specifications, User Stories, Design, and Solutioning - Possess good presentation skills to articulate and build Point of View in global forums - Effective reporting skills to keep stakeholders informed on project progress Qualifications Required: - Business analyst with 6+ years of experience in Capital markets and Risk management - Strong understanding of risk management on Credit risk - Hands-on experience in documenting and building functional specifications, BDD based test strategies, and test implementation - Experience in working on agile driven project implementations At Socit Gnrale, you will have the opportunity to be directly involved, grow in a stimulating and caring environment, and have a positive impact on the future. You can participate in solidarity actions during working hours, contribute to the financial education of young apprentices, and support the Group's ESG strategy by implementing ESG principles in all activities. If you are looking to develop or strengthen your expertise while making a difference, you will feel right at home with us.,
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posted 2 months ago
experience3 to 7 Yrs
location
Karnataka
skills
  • Risk Analytics
  • Regulatory Reporting
  • System Implementation
  • Risk Modeling
  • Capital Allocation
  • Technical Support
  • R
  • Python
  • Latex
  • Operational Risk Management
  • Basel
  • CCAR
  • Operational Loss Event Data
  • Quantitative Modeling
  • PowerBI
  • R Shiny
Job Description
As a member of the Northern Trust team, your role will involve overseeing the development of high-quality risk analytics, regulatory reporting, and system implementation and maintenance. You will be responsible for providing innovative solutions to complex issues in risk modeling, capital allocation, and other aspects of risk measurement. Working collaboratively with a team, you will collect operational loss event data and offer technical support on system implementation and maintenance matters. Key responsibilities: - Manage the model development/validation process for risk, ensuring regular production of analytical work and reports. - Support internal capital allocation methodologies to meet corporate and regulatory requirements. - Utilize expertise in risk management policies and quantitative modeling approaches to develop, implement, and administer programs within the Risk Management function. Qualifications required: - College or university degree with relevant work experience; advanced degree in mathematics, statistics, or economics preferred. - Strong analytical, problem-solving, and communication skills. - Technical knowledge in systems such as R, Python, PowerBI, Latex, and R Shiny. - Prior leadership experience in a risk measurement capacity advantageous. - Deep understanding of operational risk management and regulatory frameworks like Basel and CCAR.,
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posted 4 days ago
experience5 to 9 Yrs
location
Karnataka
skills
  • Relationship Management
  • Communication Skills
  • Interpersonal Skills
  • Corporate Finance
  • Credit Analysis
  • Regulatory Compliance
  • Risk Management
  • Credit Delivery
  • Financial Services Industry Knowledge
  • Legal Forms of Lending
  • Capital Models
  • Business Processes
Job Description
Role Overview: As a Relationship Manager, Credit Delivery, you will join a dynamic team to control the strategic and daily support for client services, business development, and relationship building. Specializing in credit delivery, you will manage client relationships with the aim to exceed their expectations every time. This role will allow you to hone your communication and interpersonal skills in a collaborative and fast-paced environment. The position is offered at the senior analyst level. Key Responsibilities: - Effectively manage your diary to build and develop a portfolio of clients while delivering excellent service - Support management in developing high-quality new business proposals and credit analysis - Build and maintain relationships with stakeholders, lead commercial negotiations, and agreements of contractual terms with new intermediaries - Work closely with other product teams to deliver a comprehensive, integrated, and high-quality banking relationship for clients - Design and originate new business proposals tailored to the needs of clients - Understand how products and services compare with competitors to maximize opportunities during personal reviews Qualifications Required: - Knowledge of credit delivery and experience working in the financial services industry - Excellent understanding of legal forms of lending, security, corporate finance, and capital models - QFA qualification with strong credit analysis skills - Excellent relationship management skills in a customer-driven business environment - Track record of successfully leading and developing a performing sales team - Experience in relevant legal, regulatory, statutory obligations, and risk management within the financial services sector - Knowledge of business processes including know your customer, anti-money laundering, deal structuring, and preparing credit appraisals,
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posted 2 months ago

General Manager- Legal

Mancer Consulting Services
experience8 to 12 Yrs
location
Karnataka
skills
  • Legal documentation
  • Drafting
  • Review
  • Negotiation
  • Regulatory matters
  • Corporate governance
  • Project management
  • Venture Capital
  • Private Equity
  • Investment agreements
  • Lease agreements
  • Share purchase agreements
  • Contractual disputes
  • Corporate laws
  • Mergers Acquisitions
Job Description
As the GM- Legal reporting to the General Counsel, your main responsibility will be managing legal documentation, drafting, reviewing, and negotiating various agreements including investment agreements, lease agreements, share purchase agreements, and more. Additionally, you will be involved in managing contractual disputes across jurisdictions and providing advisory on general corporate laws and regulatory matters. - Manage legal documentation including drafting, reviewing, and negotiating various agreements such as investment agreements, lease agreements, share purchase agreements, and more. - Create standard templates for agreements as per business needs. - Handle contractual disputes across jurisdictions and manage the filing of relevant contractual documents. - Provide advisory on general corporate laws, corporate governance, and regulatory matters on a day-to-day basis. - Collaborate with internal and external stakeholders for project management, contractual dispute resolution, and training. - Work with domestic and international law firms for corporate and plant-level issues related to existing and upcoming projects. Qualifications Required: - Prior or current experience as a Partner in a Law Firm. - Experience in Mergers & Acquisitions, Venture Capital, Private Equity domain.,
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posted 5 days ago
experience2 to 10 Yrs
location
Karnataka
skills
  • Capital Markets
  • Investment Banking
  • Investment Management
  • Risk Management
  • Data Governance
  • Data Management
  • Business Process Management
  • Data Analytics
  • Data Migration
  • BA
  • Front Office Advisory
  • Asset Wealth Management
  • Regulatory Change
  • Compliance
  • Trading Platforms
Job Description
Role Overview: As an Analyst/Consultant at Accenture Strategy and Consulting, you will be a part of the Capital Markets practice within Accenture's Global Network. Your main role will involve working with global teams to assist investment banks, asset and wealth managers, and exchanges in preparing for the digital future of capital markets. You will be expected to collaborate on client challenges, define and manage organizational changes, and support transformation projects to optimize operations and drive business decision-making. Additionally, you will play a key role in incorporating Accenture best practices into project management lifecycle. Key Responsibilities: - Collaborate with client challenges to solve complex client problems such as regulatory reforms and implementation. - Define and manage organizational change with reference to process, technology, and organization structure. - Manage transformation projects to migrate from legacy to target systems. - Assess current processes and suggest best industry practices to enhance efficiency. - Support data governance and management to optimize operations and drive business decision-making. - Support in the development of collateral, methodology refinements, best practices updates, and trends tracking. Qualifications Required: - Good analytical and problem-solving skills - Excellent communication, interpersonal, and presentation skills - Cross-cultural competence with the ability to thrive in a dynamic consulting environment - MBA from a reputed business school with a strong blend of consulting and functional skills - Industry-specific certifications such as FRM, CFA, PRM are a plus - Prior experience of working on consulting projects is a must About the Company: Accenture is a leading global professional services company that provides a broad range of services and solutions in strategy, consulting, digital, technology, and operations. With a commitment to accelerating equality for all and fostering boundaryless collaboration, Accenture offers an inclusive and collaborative environment where you can work on transformative projects with key G2000 clients. You will have the opportunity to co-create innovative solutions, develop your skills through personalized training modules, and contribute to shaping a sustainable future. With a global presence and a focus on leveraging emerging technologies, Accenture drives innovation to improve the way the world works and lives.,
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posted 2 months ago
experience3 to 7 Yrs
location
Karnataka
skills
  • Capital Markets
  • Investment Banking
  • Debt Syndication
  • Capital Raising
  • Financial Structuring
  • Market Intelligence
  • Stakeholder Management
  • Investor Relationship Management
  • Financial Acumen
Job Description
As an experienced Capital Markets professional with at least 3+ years of experience in investment banking, debt syndication, and capital raising, you will play a crucial role in structuring, syndicating, and executing debt financing transactions. Your responsibilities will include engaging with institutional investors, NBFCs, banks, and family offices to facilitate successful fund-raising transactions. Key Responsibilities: - Lead and execute debt fund raise and syndication mandates across sectors. - Structure and negotiate financing solutions such as term loans, bonds, structured credit, and hybrid instruments. - Support equity and structured finance transactions based on business requirements. - Develop and maintain strong relationships with banks, NBFCs, institutional investors, family offices, and capital providers. - Prepare financial models, investor pitch decks, transaction memos, and deal documentation. - Provide strategic recommendations to senior management on capital structure optimization. - Act as a key liaison with internal teams and external advisors to ensure seamless execution. Qualifications: - 3+ years of experience in investment banking, capital markets, debt syndication, or structured finance. - Proven track record in executing debt fund raise and capital syndication deals. - Strong expertise in financial modeling, valuation, and deal structuring. - Excellent negotiation and relationship management skills with investors and lenders. - Knowledge of regulatory frameworks impacting debt and capital market transactions. - MBA (Finance), CA, CFA, or equivalent preferred.,
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posted 1 week ago
experience0 to 4 Yrs
location
Bangalore, Karnataka
skills
  • Stress Testing
  • Liquidity
  • Regulatory Capital
  • Statistical Analysis
  • R
  • VBA
  • SQL
  • RiskPricing Models
  • ValueatRisk
  • Portfolio Analytics
  • Back testing
  • Programming languages such as CC
Job Description
As a Quantitative Risk Intern at CME Group, you will be part of a team responsible for developing Risk/Pricing Models to evaluate counterparty exposures to the Clearing House. Your role will involve working on models related to Pricing, Value-at-Risk, Stress Testing, Liquidity, and Regulatory Capital. Additionally, you will be developing tools for Portfolio Analytics. You will collaborate with the team to perform back testing and statistical analysis to ensure the adequacy of margin coverage and justify model assumptions. **Principal Accountabilities:** - Conduct empirical studies and provide recommendations on margin levels, modeling issues, and risk-mitigation measures. - Ensure that models are updated with the latest proven theories in the field. - Deploy, test, and continuously improve models within the Production Infrastructure of CME. - Present results to Senior Management and/or Risk Committees. - Enhance existing risk models and design/prototype new models across different asset classes like OTC and Futures (e.g. Pricing, VaR, Backtest, Stress, Liquidity, etc.). **Skills & Software Requirements:** - Experience with programming languages such as C++/C#, R, VBA, and SQL is required. **Education:** - A Bachelor's degree in a technical discipline is required, while a Master's degree is preferred in disciplines like Math Finance, Applied Mathematics, Financial Engineering, or Software Engineering. At CME Group, individuals like you can impact global markets, transform industries, and shape tomorrow. You will be part of a team of experts who inspire you to grow. The company values diversity and inclusivity, ensuring that every employee's unique experiences and skills are acknowledged and valued. CME Group is an equal-opportunity employer, considering all potential employees without regard to any protected characteristic. Please be aware of recruitment fraud, as scammers may use misleading promises of job offers to solicit money and personal information from job seekers. CME Group follows established procedures to maintain trust, confidence, and security throughout the recruitment process.,
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