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Market Risk Reporting Analyst

Mumbai, MH
Job Code:
  • Banking & Finance
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Job Details

Key Accountabilities and Skills requiredThis section should includeKey specific accountabilities.Responsible for the quality of VaR/ TS review and validation,Ensure any data quality gap is overcome by means of effective dialogue with internal and external team members.Take Ownership to ensure timely TS/VaR sign-off for aligned asset classesMonitor, escalate any production gaps (Process & system issues) to the management team or IT. One of the key global points of contact for respective asset class,Subject matter expert on CRIS Market Risk processes; responsible for training of new joiners in Mumbai in the CRIS VaR/ TS TeamTrain, guide and oversee the new hires within the aligned business / functional roleControl SPOC on CRIS Market Risk processes; responsible for ensuring that the required controls are adhered toEnsure that adequate controls are in place to ensure qualitative and timely delivery. Conduct sample checks to ensure control are functional.Build process documentation and strengthen controls so as to create a robust environment to ensure the function meets all external and internal operating standardsOwn initiatives to continuously improve VaR production processes; aim should be to streamline processes such that each and every process is run at its efficient bestActive contribution to a plan for reducing the daily VaR finals publication timingStakeholder management and leadership.Building and maintaining relationships across the bank with Risk Managers and key contacts responsible for upstream systemsEstablish effective working relationships and collaborate constructively within CRIS globally and other operational teams that are responsible for maintaining data which impacts reportingDriving continuous improvement by Initiating, leading and/or assisting in development/ implementation of targeted solutions to address infrastructure gaps or process inefficiencies.Decision making and problem solving.Analysis and problem solving skills in delivering solutions that are required by ClientsAbility to steer the solution building process based on strong understanding of the market risk infrastructure and the VaR production processesRisk and Control All Barclays colleagues have to ensure that all activities and duties are carried out in full compliance with regulatory requirements, Enterprise Wide Risk Management Framework and internal Barclays Policies and Policy Standards Your Skills and Qualifications will includeAbility to communicate effectivelyExcellent team player with the ability to also work independently on mini-projects when requiredSelf-motivated, takes ownership of responsibilities assigned to him/her and working towards closure of issuesPrior experience in market risk/ risk reportingAdvanced VBA & SQL skillsProven ability to work under pressure and balance prioritiesAble to pay attention to detail and demonstrate awareness of internal controls Willing to challenge existing processes in a tactful mannerMarket risk management/ reporting experience. Preferably on both position and VaR reporting & analysisAbility to cope with change and very tight deadlinesAbility to deal with senior stake holders across different time zones ( CRIS Mumbai support Risk Managers in Asia and EMEA )
Additional Degree: B.Com. (Commerce)

Experience: 2-4


Project/Structured Finance | Relationship Mgmt | Risk/Credit/Economic Analyst
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