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FID GMP


Source:
TIMESJOBS.COM
Location:
Mumbai, MH
Date:
07-11-2016
Job Code:
58220131
Categories:
  • Banking & Finance
Applying for this job will take you to an external site
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Job Details

Ensure that reg submissions like FDSF , ICAAP etc are completely managed out of MumbaiEnsure timely and accurate risk reportingEnsure that risks are signed-off for the different desks on a daily basis in a timely and accurate mannerYou OfferPost-Graduate with 12-15 years of exp in other Investment banks or in senior risk profiles in Indian banksMBA/CA, FRM an added advantageShould have prior experience is risk management and working experience of different concepts like VaR,SVar, Scenario Analysis, Stress testingShould have handled different asset classes like FX , rates from a risk standpoint and have very good understanding of various financial instruments including derivativesShould have very good communication skills and also should be able to influence others to achieve superior results for the teamAbility to navigate in a matrix organizational structureStakeholder management skills Ensure that the team is managed effectively - appraisals, leave management, work allocation etcBuild collaborative partnerships with Global counterparts and seek to enhance the overall output from Mumbai team - both qualitatively and quantatively
Degree: MBA/ PGDM

Additional Degree: BA (Arts) | B.Com. (Commerce) | B.Pharm. (Pharmacy) | B.Plan. (Planning) | B.Sc. (Science) | BBA/ BBM/ BBS | BCA (Computer Application) | Diploma-Other Diploma | B.Ed. (Education) | BHM (Hotel Management)

Experience: 12-15

Requirements

Relationship Mgmt | Risk/Credit/Economic Analyst
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