vars-jobs-in-noida, Noida

9 Vars Jobs nearby Noida

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posted 2 months ago

Senior Automation Engineer

INTELLICS GLOBAL SERVICES PRIVATE LIMITED
INTELLICS GLOBAL SERVICES PRIVATE LIMITED
experience8 to 13 Yrs
Salary10 - 22 LPA
location
Bangalore, Chennai+1

Chennai, Gurugram

skills
  • selenium
  • api testing
  • automation testing
  • automation engineering
  • java
  • cucumber
  • sql
  • bdd
Job Description
Sr. Automation Testing                No of Pos - 12  8-12 Yrs, Budget - 28.5 LPA (including 9% var ) Work locations -  Bangalore, Chennai, Gurgaon Hybrid Mode  :3 Days from office                  Notice period : October month Joiners only  Best Regards, Shivani Kishor Ingawale| Executive Talent Acquisition.   IT Services | IT Staffing Services Intellics Global Services Pvt. Ltd. ( Formerly ITSource Global Services Pvt. Ltd )  | Cell: +91. 9307744678   shivanii@intellicsglobal.com  
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posted 3 weeks ago
experience10 to 14 Yrs
location
All India, Gurugram
skills
  • Business Analysis
  • Risk Management
  • Data Mapping
  • Quality Assurance
  • Project Management
  • Agile Methodologies
  • Commercial Lending Practices
  • Flowcharts
  • OpenAPI Specifications
  • Testing Procedures
  • Test Cases Development
  • Stress Testing Models
  • Financial Derivative Products
Job Description
Role Overview: As a Business Analyst specializing in Risk, you will be responsible for understanding and translating business requirements into technical solutions. Your key role involves analyzing and documenting business processes related to risk management, identifying areas for improvement, and collaborating with cross-functional teams to implement effective solutions. Your successful contribution will require a combination of business acumen, analytical skills, and a deep understanding of commercial lending practices. Key Responsibilities: - Develop, analyze, prioritize, and organize requirement specifications, data mapping, diagrams, and flowcharts for developers and testers to follow. - Recover the design, requirement specifications, and functions of a system from an analysis of its code. - Translate non-technical requirements into clear technical specifications. - Prepare OpenAPI specifications for new REST-services. - Define and coordinate the execution of testing procedures and develop test cases to serve the overall quality assurance process. - Manage inter-team dependencies. - Decompose requirements into features and stories. - Maintain the system knowledge base. - Participate in support, analysis, and troubleshooting of production issues. - Participate in the optimization of internal team processes. Qualification Required: - Minimum 10 years of experience. - Hands-on experience with business analysis, testing, project management activities (agile methodologies), and Stress Testing models. - Experienced in gathering, specifying, and clearly documenting business & functional requirements. - Experience in delivering projects in risk management techniques like VaR, Liquidity risk, and Stress Testing models. - Understanding of data used in Risk and Finance with a strong knowledge of financial derivative products. - Preferred FRM certification. - Excellent written and verbal communication skills. Role Overview: As a Business Analyst specializing in Risk, you will be responsible for understanding and translating business requirements into technical solutions. Your key role involves analyzing and documenting business processes related to risk management, identifying areas for improvement, and collaborating with cross-functional teams to implement effective solutions. Your successful contribution will require a combination of business acumen, analytical skills, and a deep understanding of commercial lending practices. Key Responsibilities: - Develop, analyze, prioritize, and organize requirement specifications, data mapping, diagrams, and flowcharts for developers and testers to follow. - Recover the design, requirement specifications, and functions of a system from an analysis of its code. - Translate non-technical requirements into clear technical specifications. - Prepare OpenAPI specifications for new REST-services. - Define and coordinate the execution of testing procedures and develop test cases to serve the overall quality assurance process. - Manage inter-team dependencies. - Decompose requirements into features and stories. - Maintain the system knowledge base. - Participate in support, analysis, and troubleshooting of production issues. - Participate in the optimization of internal team processes. Qualification Required: - Minimum 10 years of experience. - Hands-on experience with business analysis, testing, project management activities (agile methodologies), and Stress Testing models. - Experienced in gathering, specifying, and clearly documenting business & functional requirements. - Experience in delivering projects in risk management techniques like VaR, Liquidity risk, and Stress Testing models. - Understanding of data used in Risk and Finance with a strong knowledge of financial derivative products. - Preferred FRM certification. - Excellent written and verbal communication skills.
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posted 2 months ago
experience6 to 10 Yrs
location
Noida, Uttar Pradesh
skills
  • Oracle SQL
  • PLSQL
  • Unix
  • Forms
  • Reports
  • Workflow
  • OA
  • Java
  • Framework
  • XMLBI Publisher
  • SOABPEL
  • OTBI
  • OIC
  • XML HTML
  • REST APIs
Job Description
Role Overview: As a Sr. Support Engineer at Oracle, your primary focus will be to serve as a technical interface for customers, OEMs, and VARs, providing solutions related to the installation, maintenance, and use of Oracle products. You will be expected to have a deep understanding of various Oracle products and platforms, as well as the ability to research and develop solutions independently. Key Responsibilities: - Hands-on experience in developing objects using Oracle SQL, PL/SQL, XML/BI Publisher, Unix, Forms, Reports, Workflow, OA, Java, Framework, SOA/BPEL, OTBI, OIC, XML / HTML, REST APIs. - Strong technical debugging skills using the mentioned tools. - Implementation/Support experience in Oracle EBS Supply Chain, Financials, Planning, or OPM areas. - Strong problem-solving skills. - Interact with customers to understand critical situations, provide responses, and mobilize organizational resources. - Continually improve processes, methods, tools, and utilities. - Collaborate with peers within/across teams. - Stay updated on emerging business models/processes, product solutions, and technology features. - Remain agile in a fast-changing business environment. - Create and maintain documentation for architecture, design, technical, implementation, support, and test activities. Qualifications Required: - 6+ years of techno-functional experience in Oracle EBS R12/Fusion Supply Chain/Financials/Planning/Process Manufacturing areas using SQL, PL/SQL, XML/BI Publisher, Unix, Forms, Reports, Workflow, OA, Java, Framework, SOA/BPEL, OTBI, OIC, XML / HTML, REST APIs. - Good debugging skills using technical tools. - Experience in development/support/implementation of CEMLIs. - Willingness to work in shifts, including night shifts on a rotation basis. - Education: BE, BTech, MCA preferred. Other qualifications with adequate experience may be considered.,
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posted 2 months ago

SAP CTRM-Value at Risk

Business Integra Software Solution Pvt Ltd
experience5 to 9 Yrs
location
Delhi
skills
  • CM
  • CTRM
  • FI
  • SD
  • MM
  • WM
  • VaR
  • Communication
  • HP ALM
  • SAP Commodity Management
  • Commodity Trading
  • Risk Management
  • Procurement processes
  • SAP testing tools
Job Description
As a SAP Commodity Management Consultant, your role will involve utilizing your expertise in end-to-end implementation of SAP Commodity Management along with a deep understanding of Commodity Trading and Risk Management (CTRM). Your responsibilities will include: - Leading and participating in at least 2 full-cycle SAP implementations in CM/CTRM - Hands-on configuration experience in SAP CM, MM, FI, and related modules - Demonstrating functional expertise in FI, SD, MM, and WM - Having a strong grasp of commodity transactions, VaR, and procurement processes - Communicating effectively with international stakeholders - Being familiar with SAP testing tools such as HP ALM and adhering to documentation standards Ideal candidates should possess SAP Certification. If you are passionate about SAP and eager to contribute to global projects that have a significant business impact, we invite you to apply to join our dynamic team.,
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posted 2 weeks ago
experience4 to 8 Yrs
location
Noida, Uttar Pradesh
skills
  • Cloud Computing
  • AWS
  • Azure
  • GCP
  • OCI
  • Technical Support
  • Troubleshooting
  • Customer Service
  • Cloud Networking
  • English Communication
Job Description
Role Overview: As a Senior Cloud Support Engineer at Oracle, you will serve as the technical point of contact for customers, OEMs, and VARs to resolve issues related to the installation, maintenance, and utilization of Oracle products. Your role will require a deep understanding of various Oracle products, expertise in multiple platforms, and the ability to work autonomously to research and devise solutions for customer concerns. Key Responsibilities: - Provide technical support to customers, OEMs, and VARs regarding Oracle products - Demonstrate proficiency in multiple platforms and products within your area of expertise - Independently investigate and develop solutions to customer issues - Collaborate effectively with a global, remote workforce - Maintain a focus on customer service and satisfaction - Participate in weekend rotations and work from the office 5 days a week Qualifications Required: - Bachelor's degree in Computer Science, MIS, or relevant field - Minimum of 4 years of experience in Infrastructure or cloud-related roles - Hands-on experience with Cloud Networking and deep knowledge of cloud computing - Proficiency with public-cloud platforms such as AWS, Azure, GCP, or OCI - Previous experience in technical support or troubleshooting technical problems - Strong written and verbal communication skills in English - Ability to communicate with individuals at both technical and non-technical levels - Self-motivated professional capable of working in a fast-paced environment without compromising service quality Note: The additional details about the company have not been explicitly mentioned in the provided job description.,
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posted 2 months ago
experience6 to 10 Yrs
location
Noida, Uttar Pradesh
skills
  • Workforce Management
  • Core HR
  • Absence Management
  • Personalization
  • Requirement Gathering
  • CRP
  • UAT
  • Communication Skills
  • Project Management
  • Stakeholder Management
  • Team Management
  • Analytical Skills
  • Customer Support
  • Relationship Management
  • Coaching
  • Knowledge Transfer
  • Oracle Fusion HCM
  • Time
  • Labor
  • Workforce Scheduling
  • Employee Health
  • Safety
  • Fast Formula
  • BI OTBI Reports
  • Value Set
  • UDT
  • Workflow Configuration
  • Oracle HCM Cloud Security Setup
  • Product Workshop Demo
  • Personal Attributes
  • ProblemSolving Skills
  • Influencing Skills
  • Negotiating Abilities
  • Team Player
  • Technical Courses
Job Description
Role Overview: As a member of the Support organization at Oracle, your primary focus will be delivering post-sales support and solutions to Oracle's customer base. You will serve as an advocate for customer needs, resolving post-sales non-technical customer inquiries through phone and electronic channels. Additionally, you will handle technical questions related to the use of and troubleshooting for Oracle's Electronic Support Services. Your role involves being a key point of contact for customers, facilitating customer relationships with Support, and providing advice and assistance to internal Oracle employees on various customer situations and escalated issues. Key Responsibilities: - Act as the technical interface for customers, Original Equipment Manufacturers (OEMs), and Value-Added Resellers (VARs) to resolve problems related to the installation, recommended maintenance, and use of Oracle products. - Possess a deep understanding of all Oracle products within your competencies, with in-depth knowledge of multiple products and/or platforms. - Demonstrate expertise in multiple platforms and carry out assigned duties with minimal direction from management. - Independently research and develop solutions to customer issues. - Troubleshoot and resolve highly complex techno-functional problems. - Utilize high-level techno-functional skills, Oracle product knowledge, problem-solving abilities, and customer interaction/service expertise on a daily basis. Qualifications Required: - Education: BE, BTech, MCA, or equivalent qualifications are preferred. Other qualifications with sufficient experience will also be considered. - Experience: Minimum of 6 years of relevant working experience. - Functional/Technical Knowledge & Skills: - Minimum of 6 years of Oracle Fusion HCM implementations or Support exposure. - Hands-on Functional experience in Workforce Management modules such as Core HR, Time and Labor, Absence Management, Workforce Scheduling, and Employee Health and Safety. - Good knowledge of Fast Formula, BI & OTBI Reports, Value Set, UDT, Personalization, and workflow configuration using BPM. - Strong technical knowledge in Oracle HCM Cloud security setup. - Experience in client-facing roles, including Requirement Gathering, Product Workshop & Demo, CRP, UAT, etc. - Excellent communication, project/stakeholder/team management skills, and experience. - Exposure to personalization. - Personal Attributes: - Self-driven and result-oriented. - Strong problem-solving/analytical skills. - Excellent customer support and relation skills. - Effective communication skills (verbal and written). - Focus on relationships (internal and external). - Strong willingness to learn and share knowledge. - Influencing/negotiating abilities. - Team player with a customer-focused approach. - Confidence, decisiveness, and enthusiasm. - Flexibility, organizational skills, and expertise maintenance. - Enjoyment and value of coaching/knowledge transfer and teaching technical courses.,
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posted 2 weeks ago
experience7 to 11 Yrs
location
Delhi, All India
skills
  • Channel Management
  • Sales Execution
  • Enablement
  • Territory Management
  • Reporting
  • Networking
  • Cloud Security
  • BOT
  • DDoS
  • Communication Skills
  • Negotiation Skills
  • Presentation Skills
  • Partner Recruitment
  • Sales Targets
  • GoToMarket Support
  • Cybersecurity
  • WAF
  • API Security
Job Description
As a Territory Channel Manager at our company, your role involves driving the expansion of our Cloud Security SaaS business within the country. Your primary objective will be to recruit, enable, and grow resellers focused on delivering cloud security solutions to end customers. This hands-on commercial role blends channel management with direct sales execution, making it ideal for a mid-senior professional who can both build partner ecosystems and actively drive revenue. Key Responsibilities: - Partner Recruitment & Development: - Identify and recruit new value-added resellers (VARs) specializing in Cloud Security SaaS. - Evaluate partner capabilities, coverage, and business alignment to ensure quality ecosystem growth. - Develop and execute joint business plans with resellers, defining clear goals, sales targets, and enablement milestones. - Sales Execution: - Drive Cloud Security SaaS revenue within the territory by supporting partners in opportunity creation and closure. - Engage directly in customer-facing activities to accelerate deal progression and demonstrate product value. - Achieve assigned sales targets through both partner-led and self-driven engagements. - Enablement & Go-To-Market Support: - Lead enablement sessions to strengthen reseller sales and technical readiness. - Support resellers in executing demand-generation and marketing programs. - Serve as the main business interface between resellers and internal teams (sales, marketing, and technical). - Territory Management & Reporting: - Maintain accurate pipeline visibility and forecasting across assigned partners. - Track partner performance and provide structured feedback and insights to management. - Monitor market trends and competitive movements to refine channel strategy locally. Qualifications: - 7-10 years of experience in sales and/or channel management roles. - Proven track record working for a vendor in networking, cloud, or cybersecurity. - Demonstrated success in recruiting and managing resellers with measurable revenue outcomes. - Experience in Cloud Security SaaS solutions (e.g., WAF, BOT, DDoS, API Security) is highly desirable. - Solid understanding of reseller business models and cloud sales motions. - Excellent communication, negotiation, and presentation skills. - Technically literate with the ability to engage in business and solution-level discussions. - Self-starter, motivated, and capable of executing with minimal supervision. - Fluent in English; local language proficiency preferred. As a Territory Channel Manager at our company, your role involves driving the expansion of our Cloud Security SaaS business within the country. Your primary objective will be to recruit, enable, and grow resellers focused on delivering cloud security solutions to end customers. This hands-on commercial role blends channel management with direct sales execution, making it ideal for a mid-senior professional who can both build partner ecosystems and actively drive revenue. Key Responsibilities: - Partner Recruitment & Development: - Identify and recruit new value-added resellers (VARs) specializing in Cloud Security SaaS. - Evaluate partner capabilities, coverage, and business alignment to ensure quality ecosystem growth. - Develop and execute joint business plans with resellers, defining clear goals, sales targets, and enablement milestones. - Sales Execution: - Drive Cloud Security SaaS revenue within the territory by supporting partners in opportunity creation and closure. - Engage directly in customer-facing activities to accelerate deal progression and demonstrate product value. - Achieve assigned sales targets through both partner-led and self-driven engagements. - Enablement & Go-To-Market Support: - Lead enablement sessions to strengthen reseller sales and technical readiness. - Support resellers in executing demand-generation and marketing programs. - Serve as the main business interface between resellers and internal teams (sales, marketing, and technical). - Territory Management & Reporting: - Maintain accurate pipeline visibility and forecasting across assigned partners. - Track partner performance and provide structured feedback and insights to management. - Monitor market trends and competitive movements to refine channel strategy locally. Qualifications: - 7-10 years of experience in sales and/or channel management roles. - Proven track record working for a vendor in networking, cloud, or cybersecurity. - Demonstrated success in recruiting and managing resellers with measurable revenue outcomes. - Experience in Cloud Security SaaS solutions (e.g., WAF, BOT, DDoS, API Security) is highly desirable. - Solid understanding of reseller business models and cloud sales motions. - Excellent communication, negotiation, and presentation skills. - Technically literate with the ability to engage in business and solution-level discussions. - Self-starter, motivated, and capable
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posted 2 months ago
experience5 to 10 Yrs
location
Delhi
skills
  • Business Intelligence
  • Six Sigma
  • OPEX
  • Statistical Analytics
  • Manufacturing Automation
Job Description
As a Senior Partner Account Manager at Minitab, your role involves building and managing a strong partner ecosystem in India. You will be responsible for identifying, recruiting, enabling, and managing resellers, distributors, value-added resellers (VARs), and consultants in alignment with Minitab's global go-to-market and customer engagement strategies. Key Responsibilities: - Proactively identify and onboard new partners such as resellers, distributors, and consultants that align with Minitab's strategic goals. - Drive partner enablement through training, certifications, and strategic planning. Monitor performance and optimize partner contributions. - Develop and execute annual partner business plans to achieve/exceed annual partner revenue targets. - Provide sales support across all industry verticals, engage in customer opportunities directly when needed, and co-sell alongside internal teams and partners. - Align with global and regional go-to-market strategies, and support Minitab's value-based delivery approach. - Leverage expertise in Business Intelligence, Statistical Analytics, Six Sigma, Manufacturing Automation, and OPEX to drive industry-specific success. Qualifications: - Experience: - 10+ years in indirect channel business development within enterprise software. - 5+ years of direct enterprise sales experience. - Proven record of meeting/exceeding revenue goals and pipeline targets. - Experience with multi-channel ecosystems and collaborative selling models. - Industry knowledge in BI, Statistical Analytics, or Manufacturing is a strong advantage. - Education: - Bachelors degree required. - Familiarity with structured value-based or consultative sales methodologies. As a company, Minitab values industry expertise and encourages leveraging your knowledge in various sectors to drive success. Your fluency in English will be essential for effective communication in this role.,
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posted 2 weeks ago
experience6 to 10 Yrs
location
Noida, Uttar Pradesh
skills
  • Partner Management
  • Alliances
  • Business Development
  • Indirect Sales
  • Software Industry
  • Stakeholder Management
  • Communication
  • Presentation
  • Negotiation
  • Analytical Skills
  • B2B Technology
Job Description
As a driven and strategic professional, you will lead the global partnership and alliances function. Your role involves identifying, building, and managing high-impact partnerships to support global market expansion and revenue pipeline growth. You will collaborate closely with technology providers, system integrators, and other ecosystem players to deliver innovative customer communication solutions across markets. **Roles and Responsibilities:** - Develop and execute a comprehensive global partner development plan aligned with the company's growth and go-to-market objectives. - Identify, evaluate, onboard, and manage a diverse partner ecosystem, including Global System Integrators, Consulting Firms, Cloud Providers, Fintech Aggregators, ISVs, Martech Agencies, CX Integrators, OEMs, and regional VARs. - Co-create and operationalize partner programs tailored to regional dynamics, in collaboration with marketing, sales, product, and technology teams. - Collaborate with partners to develop joint value propositions and sales plans that generate new sales opportunities. - Engage with partners consistently to proactively identify trends and insights from regional markets and share actionable intelligence internally. - Own and manage the partner pipeline, performance metrics, and forecasting to ensure accountability and alignment with revenue goals. - Conduct regular enablement and training sessions to equip partner teams for successful selling and solution delivery. - Serve as the primary relationship manager for key partners, ensuring strong alignment, satisfaction, and long-term success. **Requirements:** - Masters/bachelor's degree in business, Marketing, or a related discipline. - 5-7 years of experience in partner management, alliances, business development, or indirect sales in the B2B technology or software industry. - Demonstrated success in building and scaling strategic partnerships that drive commercial impact. - Experience working with global technology ecosystems, preferably in SaaS-based enterprise software. - Strong communication, presentation, negotiation skills, and stakeholder management skills, with the ability to influence cross-functionally. - Strong analytical skills, with the ability to use data to drive business decisions. - Highly organized, self-motivated, and capable of managing multiple initiatives in a dynamic environment. - Passion for technology and a desire to learn about new products and services. The company offers a range of employee benefits including: - Cashless medical insurance for employees, spouses, and children - Accidental insurance coverage - Life insurance coverage - Five-day work week - Company-paid lunch - Company-paid transportation - Access to online learning platforms such as Udemy. - Retirement benefits including Provident Fund (PF) and Gratuity - Sodexo benefits for income tax savings - Paternity & Maternity Leave Benefit - National Pension Saving,
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posted 3 weeks ago
experience2 to 6 Yrs
location
Maharashtra
skills
  • Financial Risk Management
  • Credit Analysis
  • Financial Statement Analysis
  • Cash Flow Analysis
  • Data Analytics
  • Python
  • Tableau
  • Financial Modeling
  • Risk Reporting
  • Stakeholder Management
  • Quality Control
  • Peer Analysis
  • Credit Reviews
  • Market Risk Analysis
  • VaR Calculation
  • Regulatory Changes Analysis
  • Independent Price Verification IPV
Job Description
As a Risk Analyst- Campus Hire at Deutsche Bank in Mumbai, India, you will be part of the Risk division, where you will play a fundamental role in protecting the bank by managing and controlling credit, market, operational, and reputational risks. You will work with a team of nearly 3,000 employees to achieve the goal of being an industry-leading risk management organization. **Key Responsibilities:** - Undertake accurate and timely credit analysis of counterparties by identifying business and financial risks, preparing cash flow models, and peer analysis. - Write rating reports and credit reviews for recommendation to senior members. - Participate actively in live trades with onshore credit officers by providing recommendations and completing credit write-ups. - Monitor limits/exposure and update relevant data in the credit system. - Identify areas of risk challenges and monitor emerging risks. - Prepare and analyze decision-making materials for effective risk monitoring. - Ensure appropriate messaging in senior management forums based on risk information. - Perform quality assurance on new products and transactions and other risk framework inputs. **Market and Valuation Risk Management:** **Market Risk Analysis & Control (MRAC)** - Production and data analytics of risk metrics at asset and portfolio level. - Impact analysis of change in market data on market risk metric. - Execution of market risk calculation processes and process enhancements. - Market risk and stress testing analytics. - Create/update market data models for VaR calculation. **Valuation Risk (VR)** - Perform Independent Price Verification processes on various financial products. - Analyze and explain outputs, identify variance drivers, and publish results. - Discuss price testing results and model reserves with stakeholders. - Prepare MIS pack presentation and report to senior management. - Take ownership of models and make changes/improvements as necessary. **Enterprise Risk Management (ERM):** - Coordinate accountability of critical risk reports and provide key risk development updates. - Undertake targeted risk reviews, challenge stakeholder input, and articulate recommendations. - Ensure timely delivery of input deliveries across risk types and perform quality control checks. **Your Skills And Experience:** - Relevant professional qualifications such as MSc/MA/MBA/CA/CFA. - Experience/understanding of risk in the financial market/investment banking industry. - Strong analytical skills and knowledge of financial markets and economic trends. - Excellent communication skills and ability to articulate technical topics. - Problem-solving skills and critical thinking ability. - Strong accounting background and financial statement analysis knowledge. At Deutsche Bank, you will receive support through training, coaching, and a culture of continuous learning to aid your career progression. You will work in a positive, fair, and inclusive work environment where you can excel and collaborate with global stakeholders. Note: For details about the company, please visit [Deutsche Bank's website](https://www.db.com/company/company.html).,
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posted 2 weeks ago
experience8 to 12 Yrs
location
All India
skills
  • Market Risk Management
  • Regulatory Compliance
  • Risk Analysis
  • Financial Markets
  • Derivatives
  • VaR
  • Stress Testing
  • Governance
  • Communication Skills
  • Interpersonal Skills
  • Legal Entity Market Risk
  • Risk Oversight
  • Quantitative Concepts
  • Risk Control Processes
Job Description
In this role as an Associate in the Legal Entity Market Risk team at J.P. Morgan, you will be responsible for managing the interface and relationship with local regulators around Market Risks. Your key responsibilities will include: - Providing leadership on India Legal Entity Market Risk strategy and understanding the Legal Entity requirements around Market Risk in India or APAC region. - Effectively handling Legal Entity onsite and offsite inspections/examinations and establishing & ensuring a robust risk governance framework. - Establishing and monitoring risk limits for the legal entity, providing commentary and analysis as required. - Assisting in limit escalations, monitoring key control processes, and identifying material risks, concentrations, and tail risks to ensure no surprise. - Conducting ad hoc risk scenario analysis and responding to urgent requests from senior risk and trading management. - Actively engaging with location trading desk managers to remain current on risks, business activity, exposures, material trade approvals, limits, etc. - Participating in the location Risk Committee meetings, covering changes in and understanding of risk profiles and any market risk issues arising. - Improving risk transparency, methodologies, and reports by conducting deep-dives on various basis risks, curve risks, specific structure risks, etc. - Coordinating with FO, MO, Finance, and Technology on projects relating to FRBT, VaR, stress, risk reporting, and interacting extensively with technology support teams. - Supporting the APAC legal entity team resiliency initiatives, including supporting the rest of the Asia Legal Entities in regulatory deliverables and commitments. Your qualifications, capabilities, and skills should include: - Minimum Bachelors degree - Strong knowledge of local financial markets and products, including derivatives. - Strong analytical skills and highly numerate. - Familiarity with Market Risk Management related to local regulations. - Strong knowledge of risk control processes and governance. - Excellent written and spoken communication skills; experienced in presenting to auditors and regulators. - Deep sense of accountability and ability to work independently with limited supervision. - Ability to work well under pressure with a commitment to deliver under tight deadlines. - Excellent interpersonal and influencing skills to drive cross-functional initiatives and solve complex issues. Preferred qualifications, capabilities, and skills: - At least 8 years of experience in financial markets, with previous trading or market risk management experience preferred. - Prior managerial experience is preferred. In this role as an Associate in the Legal Entity Market Risk team at J.P. Morgan, you will be responsible for managing the interface and relationship with local regulators around Market Risks. Your key responsibilities will include: - Providing leadership on India Legal Entity Market Risk strategy and understanding the Legal Entity requirements around Market Risk in India or APAC region. - Effectively handling Legal Entity onsite and offsite inspections/examinations and establishing & ensuring a robust risk governance framework. - Establishing and monitoring risk limits for the legal entity, providing commentary and analysis as required. - Assisting in limit escalations, monitoring key control processes, and identifying material risks, concentrations, and tail risks to ensure no surprise. - Conducting ad hoc risk scenario analysis and responding to urgent requests from senior risk and trading management. - Actively engaging with location trading desk managers to remain current on risks, business activity, exposures, material trade approvals, limits, etc. - Participating in the location Risk Committee meetings, covering changes in and understanding of risk profiles and any market risk issues arising. - Improving risk transparency, methodologies, and reports by conducting deep-dives on various basis risks, curve risks, specific structure risks, etc. - Coordinating with FO, MO, Finance, and Technology on projects relating to FRBT, VaR, stress, risk reporting, and interacting extensively with technology support teams. - Supporting the APAC legal entity team resiliency initiatives, including supporting the rest of the Asia Legal Entities in regulatory deliverables and commitments. Your qualifications, capabilities, and skills should include: - Minimum Bachelors degree - Strong knowledge of local financial markets and products, including derivatives. - Strong analytical skills and highly numerate. - Familiarity with Market Risk Management related to local regulations. - Strong knowledge of risk control processes and governance. - Excellent written and spoken communication skills; experienced in presenting to auditors and regulators. - Deep sense of accountability and ability to work independently with limited supervision. - Ability to work well under pressure with a commitment
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posted 2 months ago
experience5 to 9 Yrs
location
Haryana
skills
  • Microsoft Office
  • Inventory Management
  • BlackLine
  • CPA
  • Oracle NetSuite
  • IAP
  • VAR practice
  • SuiteFoundation
  • SuiteFlow
  • SuiteScript
  • SuiteCommerce
  • NetSuite OneWorld
  • Advanced Revenue Management
  • BILL
  • Tallie
  • CA
  • MBA Finance
Job Description
As a NetSuite Techno Functional Consultant at our company, you will play a crucial role in leading the implementation and onboarding of new clients within the RSM Accounting Financial Consulting (AFC) practice. Your responsibilities will include performing solution design, leading client-facing training sessions, overseeing and mentoring team members, and collaborating with cross-functional teams to achieve business goals. Key Responsibilities: - Lead the implementation and onboarding of new clients within the RSM AFC practice. - Perform solution design for the implementation of the FaaS-AFC technology stack, including NetSuite, BILL, Tallie, and BlackLine. - Lead client-facing training sessions on AFC technology solutions. - Oversee and mentor team members. - Collaborate with cross-functional teams to achieve business goals. - Define and document repeatable methodologies for future projects. - Identify opportunities to enhance customer onboarding experience and implement improvements. - Assist with project-based initiatives, including quality control review and technology/process optimization. - Optimize the use of Oracle NetSuite system through various activities such as business process evaluation, procedure development, system process flow, QA planning, and user training. - Creation and oversight of documentation related to standard operating procedures. - Provide technical support to end-users to resolve issues with Oracle NetSuite use. - Ensure proper communication and integration across the entirety of AFC practice and technology partners. Qualification Required: - Bachelors degree in accounting, Finance, MIS or IT. - 5+ years of Oracle NetSuite experience in either an IAP or VAR practice. - Oracle NetSuite SuiteFoundation Certified. - Oracle NetSuite Certified Administrator. - Experience with SuiteFlow. - Expertise in process analysis and redesign of business processes. - Excellent communication and presentation skills. - Strong time management and organizational skills. - Ability to prioritize and stay organized in a dynamic environment. - Strong technology skills and dedication to lifelong learning. - Strong Microsoft Office skills. Preferred Qualifications: - Oracle NetSuite Certified ERP Consultant. - Oracle NetSuite Certified Financial User. - Experience with SuiteScript and SuiteCommerce. - Experience with NetSuite OneWorld, Advanced Revenue Management, and Inventory Management. - Experience with BILL, Tallie, BlackLine. - Experience in public accounting firm, consulting firm, or professional services environment. - Experience in an outsourced accounting role. - CA, CPA, MBA Finance. Join us and be a part of our dynamic team where you can contribute to the success of our clients and projects while continuously learning and growing in your career.,
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posted 2 months ago
experience5 to 9 Yrs
location
Maharashtra
skills
  • Risk Monitoring
  • Financial Risk Management
  • Risk Management
  • Communication Skills
  • Process Improvement
  • MS Excel
  • PowerPoint
  • VBA
  • SQL
  • Python
  • Data Quality Management
  • VaR Metrics Analysis
  • BlackRock Solutions Aladdin
Job Description
As an Investment Risk Manager, AVP at DWS in Mumbai, India, you will be a crucial part of the Investment Risk team responsible for overseeing investment risk for DWS fiduciary portfolios. Your role will involve conducting portfolio risk monitoring, analysis, and reporting across various risk types and asset classes. You will also support data quality management processes, develop reports on investment risk, review product risk profiles, and contribute to global and local projects within the Liquid Investment Risk Management Team. Key Responsibilities: - Conduct portfolio risk monitoring, analysis, and reporting across various risk types (market risk, liquidity risk, counterparty risk, and sustainability risk) and asset classes (e.g. equity, fixed income, commodities). - Support and execute data quality management and escalation processes for different risk metrics. - Develop reports, dashboards, and memos on investment risk for management and oversight bodies. - Review new/existing product risk profiles and portfolio positions to identify potential sources of investment risk. - Assist in developing systems and tools for automating risk limitation, measurement, monitoring, and escalation processes. - Contribute to global and local projects within the Liquid Investment Risk Management Team. Qualifications Required: - University degree in Finance or a quantitative field, Chartered Financial Analyst or Financial Risk Manager designations are a plus. - Minimum of 5 years of experience in the financial services industry with exposure to various risk functions (market, counterparty, credit, liquidity, sustainability), preferably in a buy-side firm. - Proficiency in analyzing VaR metrics and analytical models for financial instruments. - Previous experience with BlackRock Solutions Aladdin is preferred. - Strong knowledge of risk management across different instrument types, business mandates, and risk disciplines (market risk, liquidity risk, counterparty risk, sustainability risk). - Excellent verbal and written communication skills with the ability to communicate effectively with management. - Proactive mindset to implement process improvements and new solutions. - Strong organizational skills and ability to manage competing priorities. - Proficiency in MS Excel, PowerPoint, VBA, SQL, and Python.,
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posted 2 weeks ago
experience3 to 7 Yrs
location
Maharashtra
skills
  • Python
  • R
  • Monte Carlo Simulation
  • Sensitivity Analysis
  • Scenario Analysis
  • CVA
  • Quantitative Analysis
  • Market Risk Model Development
  • Market Risk Model Validation
  • Value at Risk VaR
  • Stress VaR
  • Expected Shortfall
  • RWA Calculation
  • Correlations
  • Copulas
  • Interest Rate Models
  • Volatility Modeling
  • FRTB Regulations
  • Internal Models Approach IMA
  • Standardized Approach SA
  • Quantitative Modeling
  • Risk Factor Modellability
  • Capital Requirements Calculation
  • Back Testing
  • Risk Mitigation Strategies
Job Description
Role Overview: You should hold a Masters or Ph.D. degree in Mathematics, Statistics, Financial Engineering, or a related quantitative field to ensure a strong foundation in complex financial modeling. With 10+ years of experience in market risk model development/validation, proficiency in programming languages such as Python, R, and strong analytical skills will be essential for effective data interpretation and model analysis. Your excellent verbal and written communication skills will allow you to articulate complex quantitative concepts effectively and collaborate with other analysts, risk managers, and IT professionals in team environments. Candidates with exposure to FRTB- Standardized Approach implementation or FRTB IMA - Model development experience will be preferred, and FRM/CQF/CFA certification would be a plus. Key Responsibilities: - Develop or validate market risk models covering Value at Risk (VaR), Stress VaR, VaR mapping, back-testing VaR, Expected Shortfall, Market risk Stress testing Loss estimation, RWA calculation, Sensitivity & Scenario analysis, modeling dependence, term structure models of interest rates, and volatility modeling - Have a deep understanding of the Fundamental Review of the Trading Book (FRTB) regulations, specifically expertise in the Internal Models Approach (IMA) and the Standardized Approach (SA) - Preferably have IMA & CVA Experience - Demonstrate experience in developing or validating quantitative models within the banking sector aligned with FRTB standards, especially in market risk modeling - Be familiar with risk factor modellability concepts and be adept in calculating capital requirements under FRTB guidelines - Perform back tests of the distribution of simulated risk factors - Conduct quantitative analysis of market data, including historical market data and current market trends, to identify potential risks and recommend appropriate risk mitigation strategies - Stay up to date with industry trends, regulations, and best practices related to market risk management Qualifications Required: - Mandatory skill sets include Market Risk Quant - Preferred skill sets include Model Development / Validation and FRTB - You should have a minimum of 3+ years of experience - Education qualification required is a Masters or Ph.D. degree in Mathematics, Statistics, Financial Engineering, or a related quantitative field,
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posted 2 months ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate derivatives
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Asset Classes
  • Total Return Swaps TRS
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of basis point
  • Yield curve
  • Parallel shifts in yield curve
  • Point shifts in yield curve
Job Description
As an experienced market risk professional with 3-8 years of experience in market risk measurement within an investment bank or other financial institution, you must have previous VaR or Credit Risk experience. Your knowledge in Asset Classes should include at least 1-2 of the following: Equity, Fixed Income, FX, Commodities, Derivatives & Structured Products. Your role will require experience and knowledge of Fixed Income and Derivatives, especially Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA etc. It is essential to have a basic understanding of pricing and valuation of these products. You should also have an understanding of key risk/profitability concepts such as Probability of Default, Event of Default, Jump to Default, Present Value of basis point, Mark to Market, volatility, Yield curve, parallel and point shifts in yield curve etc. Ideally, you should hold a higher degree in finance or a related area, or a professional qualification such as CFA, FRM, PRIMA. General knowledge of risk issues and investment products, along with some programming skills, would be desirable. Your ability to work well in a team, build relationships, produce high-quality work under pressure and tight deadlines, question the status quo, and provide alternative approaches will be crucial in this role.,
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posted 3 weeks ago
experience4 to 8 Yrs
location
Maharashtra
skills
  • Financial Risk Management
  • Market Risk
  • Liquidity Risk
  • Counterparty Risk
  • Financial Instruments
  • Risk Management
  • MS Word
  • Excel
  • PowerPoint
  • SQL
  • Python
  • VaR Metrics
  • BlackRock Solutions Aladdin
Job Description
Role Overview: As an Investment Risk - Risk Manager at DWS, you will have the opportunity to be part of a leading firm with a global presence, where you can innovate, invest responsibly, and drive change in the industry. You will play a crucial role in finding investment solutions to ensure the financial future of clients while working alongside industry thought leaders. Key Responsibilities: - Conduct portfolio risk monitoring, analysis, and reporting across various risk types and asset classes - Support data quality management and escalation processes of different risk metrics - Develop reports, dashboards, and memos on investment risk for management and oversight bodies - Review product risk profiles and portfolio positions to identify potential sources of investment risk - Assist in developing systems and tools for risk limitation, measurement, monitoring, and escalation - Contribute to global and local projects in the Liquid Investment Risk Management Team Qualifications Required: - University degree in Finance or quantitative field, Chartered Financial Analyst or Financial Risk Manager designations are a plus - Minimum 4 years of experience in the financial services industry, preferably in different risk functions within a buy-side firm - Proficiency in analyzing VaR metrics and using analytical models for financial instruments - Familiarity with BlackRock Solutions Aladdin is preferred - Strong knowledge of risk management across various instrument types and risk disciplines - Excellent verbal and written communication skills - Proactive mindset for implementing process improvements and new solutions - Strong organizational skills and ability to manage competing priorities - Proficiency in MS Word, Excel, PowerPoint, SQL, and Python Additional Company Details: DWS, as a part of Deutsche Bank Group, aims to create a culture of empowerment, responsibility, commercial thinking, initiative, and collaboration. They value a positive, fair, and inclusive work environment where success is shared and celebrated among all employees. The company focuses on continuous learning, training, and development to support career progression. For more information about DWS and Deutsche Bank Group, you can visit their company website: [DWS Company Website](https://www.db.com/company/company.htm),
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posted 3 weeks ago

Regional Head, EMG APAC - VP

Jobs via eFinancialCareers
experience7 to 11 Yrs
location
All India
skills
  • Risk Management
  • Credit Risk Management
  • Market Risk Management
  • Operational Risk Management
  • VAR
  • Backtesting
  • Financial Products
  • Derivative Products
  • Counterparty Portfolios
  • Credit Risk Engine
  • Quantitative Risk Management
  • Qualitative Risk Management
  • Potential Future Exposure PFE
  • Scenario Stress Testing
  • Dynamic Credit Hedging
  • Structured Transactions
  • Pricing Models
Job Description
Role Overview: In an ever-changing financial landscape, the Risk division plays a crucial role in reinforcing Deutsche Bank's resilience. As the Regional Head of Exposure Management Group (EMG) for APAC in Mumbai, you will lead a team responsible for analyzing pre-deal credit exposures across derivative products. Your role will involve managing and mitigating risk in market, operational, and credit areas, in alignment with the bank's strategies and regulatory requirements. You will work closely with teams in London and Jacksonville to ensure consistency in approaches and meet business objectives. Key Responsibilities: - Lead the EMG Mumbai team to achieve business objectives and uphold the bank's values. - Analyze credit risk of individual derivative trades across various asset classes for transaction approval and counterparty portfolio assessment. - Calculate initial margin for derivatives and collateral haircuts for complex financings. - Engage daily with credit officers and front office teams to discuss trade structures. - Conduct ad-hoc scenario analyses and stress tests for counterparties and business lines. - Manage escalations related to Initial Margin requirements. - Collaborate with global colleagues on transactions, methodology/tool development, and strategic initiatives. Qualification Required: - Strong mathematical and statistical background with the ability to simplify complex concepts for a non-technical audience. - Comprehensive knowledge of derivative products across asset classes, financial markets, and risk concepts. - Understanding of counterparty credit risk at trade and portfolio levels. - Experience in developing methodologies for financial products and translating technical documents for non-technical audiences. - Proficiency in various pricing models. - Excellent interpersonal, analytical, and communication skills. - Ability to multitask, prioritize resources, and work effectively across different time zones. - Strong team-working and management skills. Additional Details: Deutsche Bank offers a range of benefits to support your well-being and career growth, including best-in-class leave policy, gender-neutral parental leaves, reimbursement for childcare assistance, sponsorship for industry certifications, comprehensive insurance coverage, and health screening. The company promotes a culture of empowerment, responsibility, collaboration, and continuous learning, fostering a positive and inclusive work environment. For more information about Deutsche Bank and its values, please visit the company website at: [https://www.db.com/company/company.html](https://www.db.com/company/company.html),
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posted 2 weeks ago
experience5 to 9 Yrs
location
Maharashtra, Pune
skills
  • Model Development
  • Model Validation
  • Valuation
  • Risk Management
  • Portfolio Management
  • Financial Instruments
  • Stress Testing
  • MATLAB
  • R
  • Analytical Models
  • Liquidity Risk Models
  • Market Risk Models
  • Value at Risk VaR
  • Programming Languages Python
  • Databases SQL
  • BlackRock Solutions Aladdin
Job Description
Role Overview: As a DWS Risk Manager - Investment Risk Models, AVP at DWS in Pune, India, you will have the opportunity to be part of an industry-leading firm with a global presence. You will play a crucial role in overseeing investment risk of DWS fiduciary portfolios by designing and executing risk programs to identify, measure, control, and manage market, liquidity, sustainability, and counterparty risk. Your contributions will be instrumental in providing the best possible foundation for our clients" financial future. Key Responsibilities: - Develop, test, and document in-house and vendor-provided models for DWS - Design and implement compensating controls to address identified model weaknesses - Maintain and enhance existing risk models to deliver high-quality analytics and insights for the Investment and Product Divisions - Coordinate and document model development activities, including new releases and updates, collaborating with model vendors and key stakeholders - Contribute to the development and continuous improvement of the Model Risk Program for Investment Risk in liquid products, ensuring robust model risk governance Qualifications Required: - Masters degree in mathematics, Statistics, Quantitative Finance, Physics, or a related field; PhD is a plus - Minimum of 5 years of proven experience in the financial industry, ideally in Model Development, Model Validation, Valuation, Risk Management, or Portfolio Management - Demonstrated expertise in developing and applying analytical models for financial instruments - Familiarity with regulatory frameworks related to model risk in the asset management industry is a plus - Strong understanding of liquidity risk models and market risk models such as Value at Risk (VaR) and Stress Testing - Proficient in programming languages such as Python, MATLAB, or R, and experienced with databases (SQL) - Prior experience with BlackRock Solutions Aladdin is preferred - Excellent verbal and written communication skills, with the ability to proactively and effectively communicate with management - Proactive mindset with a focus on process improvement and innovative solution development - Strong organizational skills and the ability to manage multiple priorities effectively Additional Details: DWS, as part of the Chief Risk Office, is committed to protecting the business and supporting sustainable growth. The Investment Risk team plays a critical role in overseeing the risk of fiduciary portfolios, ensuring the best possible foundation for clients" financial future. As part of DWS, you will have access to a range of benefits including leave policies, parental leaves, reimbursement under childcare assistance benefit, sponsorship for certifications, and comprehensive insurance coverage for you and your dependents. The company promotes a culture of continuous learning, collaboration, and empowerment to excel together every day. For more information about DWS and Deutsche Bank Group, you can visit their company website: [DWS Company Website](https://www.db.com/company/company.htm),
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posted 6 days ago
experience4 to 8 Yrs
location
Maharashtra
skills
  • JavaScript
  • Angular
  • HTML5
  • CSS3
  • Cypress
  • Git
  • Financial services
  • Unit testing
  • Component testing
  • E2E testing
  • Cypress
  • Tableau
  • Power BI
  • VaR
  • Stress testing
  • Scenario analysis
  • SonarQube
  • UX design
  • Axure
  • React
  • Vuejs
  • RESTful
  • GraphQL
  • Jest
  • Playwright
  • Webpack
  • CICD
  • UI performance optimization
  • Accessibility standards
  • Risk management applications
  • Data visualization libraries
  • D3js
  • High charts
  • Playwright
  • Dashboard platform
  • Market risk concepts
  • DevOps tools
  • Grafana
  • Figma
  • Micro Frontends
  • Angular element
  • Module federation
  • Web components
Job Description
As a Frontend Developer in the Risk Technology team at Morgan Stanley, you will play a crucial role in building modern, responsive, and intuitive web applications that support the Market Risk Business Ecosystem. Your work will involve collaborating with product owners, scrum masters, backend developers, and UI/UX designers to deliver high-impact tools that enhance the Firm's capabilities. **Role Overview:** You will be responsible for developing and maintaining user-facing features using modern JavaScript frameworks such as Angular, React, or Vue.js. Your tasks will include translating design wireframes and business requirements into functional, scalable web interfaces. Additionally, you will collaborate with backend developers to integrate RESTful / GraphQL APIs and services, optimize applications for performance, accessibility, and cross-browser compatibility, and implement automated testing using frameworks like Jest, Cypress, or Playwright. Participation in code reviews, contribution to frontend architecture decisions, and adherence to Firm UI/UX standards and design systems will also be part of your responsibilities. **Key Responsibilities:** - Develop and maintain user-facing features using modern JavaScript frameworks. - Translate design wireframes and business requirements into functional, scalable web interfaces. - Collaborate with backend developers to integrate RESTful / GraphQL APIs and services. - Optimize applications for performance, accessibility, and cross-browser compatibility. - Implement automated testing using frameworks like Jest, Cypress, or Playwright. - Participate in code reviews and contribute to frontend architecture decisions. - Maintain consistency with Firm UI/UX standards and design systems. - DevOps / CI/CD to deploy and release across environments. **Qualifications Required:** - 5+ years of experience in frontend development. - Proficiency in HTML5, CSS3, JavaScript (ES6+), and one or more modern frameworks (Angular preferred). - Experience with responsive design and cross-browser compatibility. - Familiarity with Git, Webpack, and CI/CD pipelines. - Strong understanding of UI performance optimization and accessibility standards. - Excellent communication and collaboration skills. **Preferred Qualifications:** - Experience in financial services or risk management applications. - Exposure to data visualization libraries (e.g., D3.js, Highcharts). - Experience with Unit, Component, and E2E testing (e.g., Cypress, Playwright). - Experience in dashboard platforms (e.g., Tableau, Power BI). - Understanding of market risk concepts such as VaR, stress testing, and scenario analysis. - Familiarity with DevOps tools like Grafana and SonarQube. - Experience with UX design (e.g., Figma, Axure). - Experience with Micro Frontends (angular element, module federation, web components). In addition to the technical qualifications, Morgan Stanley is committed to maintaining a first-class service and high standard of excellence, guided by values such as putting clients first, diversity and inclusion, and giving back to communities. As an equal opportunities employer, Morgan Stanley provides a supportive and inclusive environment where individuals can maximize their full potential. The company values recruiting, developing, and advancing individuals based on their skills and talents, fostering a culture of inclusion and diversity across its global workforce.,
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posted 1 week ago
experience3 to 8 Yrs
location
All India
skills
  • VaR
  • Credit Risk
  • Equity
  • Fixed Income
  • FX
  • Commodities
  • Derivatives
  • Structured Products
  • Corporate Bonds
  • Interest Rate Derivatives
  • Total Return Swaps
  • Credit Derivatives
  • CVA
  • Pricing
  • Valuation
  • Mark to Market
  • Volatility
  • Market Risk Measurement
  • Asset Classes
  • FVA
  • Probability of Default
  • Event of Default
  • Jump to Default
  • Present Value of Basis Point
  • Yield Curve
  • Parallel Shifts
  • Point Shifts
  • Term Structure Sensitivity
  • Programming Skills
Job Description
As an experienced market risk professional, you will be responsible for measuring market risk within an investment bank or financial institution. Your role will involve previous experience in VaR or Credit Risk, with a strong knowledge of Asset Classes such as Equity, Fixed Income, FX, Commodities, Derivatives, and Structured Products. Key Responsibilities: - Utilize your expertise in Fixed Income and Derivatives, focusing on Corporate Bonds, Interest Rate derivatives, Total Return Swaps (TRS), Credit Derivatives, CVA, FVA, etc. - Demonstrate a basic understanding of pricing and valuation for these products. - Apply your knowledge of key risk and profitability concepts, including Probability of Default, Event of Default, Jump to Default, Mark to Market, volatility, Yield curve, and shifts in yield curve. Qualifications Required: - Possess at least 3-8 years of experience in market risk measurement within the financial sector. - Hold a higher degree in finance or a professional qualification such as CFA, FRM, PRIMA. - Have a general understanding of risk issues, investment products, and programming skills. - Exhibit the ability to work effectively in a team, build relationships, and deliver high-quality work under pressure and tight deadlines. - Demonstrate willingness to challenge the status quo and provide alternative approaches. If there are any additional details about the company in the job description, kindly provide them for a more comprehensive understanding of the role.,
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