VP – Market Risk Analytics recruitment
Job DescriptionReporting into Director of this team you would be responsible to lead and manage analysts for functions like market risk analytics, capital explain and stress testing and counterparty risk methodology. You would be responsible for ensuring the quality, accuracy and timeliness of the team’s deliverables along with implementing controls to ensure the same. You would also work closely with the international markets teams to provide support to the users.The Successful ApplicantMasters in Economics/Statistics or M.Tech from leading institutions in India/globally.You should have in-depth Read more […]
VP – Quant Risk recruitment
Reporting into the Director – Quant Risk, you will be a part of the quantitative risk management department which analyzes and manages the bank’s market and credit risk. You will be responsible for:Validation of the bank’s pricing modelsAssisting other groups in the bank with quantitative advice and expertiseTake cross functional responsibilities and work closely with internal clients to deliver on projects on a firm-wide scaleProvide model validation perspective as well as grasp perspectives of other functions (from risk and trading) to enrich model validation activitiesThe Successful Applicant6-8 Read more […]
Senior Associate – Counterparty Credit Risk Methodology recruitment
Reporting into Director of this team you would be responsible to analyze, influence and change the counterparty credit risk models and create new ones for the bank. You would also need to do the model testings to meet the regulatory requirements. You would also work closely with the international markets teams to provide support to the users of these models.The Successful ApplicantPhD/Masters in Economics/Statistics or M.Tech from leading institutions in India/globally is a must.You should have in-depth understanding of different methodologies to calculate counterparty credit risk.Strong background Read more […]
AD – Risk Management (Leading Management Consulting Firm) recruitment
Job Description Reporting into Partner, you would lead the risk consulting practice to deliver on client assignments in global settings. You would also be responsible for advising clients on an array of risk management issues like strategy and governance, process excellence regulatory reform etc. You would also partner with global risk teams across North America, Europe and APAC to help in shaping key client deals. You would also help build risk practice by hiring, training and nurturing talent.The Successful Applicant You should be an MBA from Tier -1 B-School in India/Globally with 10 to 15 Read more […]
VP/SVP Credit Analysis recruitment
Job DescriptionReporting into Global Head of Credit Risk, as a VP/SVP you would support the Head of India Credit Centre to ensure that all Credit proposals prepared by the teams are of high standard and meets the expectations of the RMs and clients in those markets. You would also be responsible for:Monitoring the control environment, work flow and management information tools for compliance, accuracy and completeness.Build deep co-operation with onshore teams to support a seamless and collaborative environment.Develop and improve the skill set of the Corporate Analyst team to ensure stakeholder Read more […]
Assistant Manager-Basel 2 Analytics recruitment
Job Description Reporting to the Manager you will be responsible to assist in the design, development, implementation and monitoring of PD,LGD and EAD Basel models across portfolios. In addition to this your key responsibilities will be as follows-Develop effective SAS based Basel 2 modelsSupport ongoing projects through data driven analysisMaintain effective relationships with the onshore clients/stakeholdersDeliver effective models that minimize the risk of loss to the bank and gain stakeholder approvalThe Successful ApplicantYou must be Graduate/MBA/Master in Economics/Statistics with more Read more […]
Assistant Vice President recruitment
About Risk and PL Risk and PL is a Middle Office Finance function for Product and Financial Control within the GBS organisation. The primary responsibility for a product controller is to produce Risk and PL for the trading desk, substantiate these numbers, explain to both the traders and onshore Finance Directors and ensure that they maintain a ‘control’ environment.Risk and PL is comprised of seven groups which, in one way or the other, service all DB’s major trading hubs. The particular concentration is on supporting the European and Americas regions, principally London, Frankfurt and New Read more […]
Mumbai – Compliance Manager recruitment
Strong prudential management has been a key to Macquarie’s success over many years. The Risk Management Group (RMG) is an independent, centralised unit responsible for assessing and monitoring risks across Macquarie. This includes market and liquidity risk, credit risk, compliance risk and operational risk. Risk Management Group personnel liaise closely with all operating areas to ensure risks are understood and properly managed.This role has responsibility for the administration of a number of key bank-wide policies designed to ensure Macquarie fulfils its legal obligations and avoids reputation Read more […]
Head of Compliance – Corporate & Investment Banking Division – Top Tier Global Investment Bank recruitment
This is an excellent opportunity to pursue one’s career in one of the fastest growing financial centres in the world.This Corporate Investment Banking Division serves as a talent pool for our client’s global platform, which contributes to a significant portion of the bank’s revenues and profits.ROLE RESPONSIBILITIES:Manage Compliance advisory for the Corporate and Investment banking division in India – Oversee office operations, client interaction and staff management.Understanding of cross border regulatory framework and monitor applicable regulatory changes and provide effective change Read more […]
Head of Credit Risk (Leading Financial Institution) recruitment
About Our Client Our client is a dynamic and highly regarded international Bank with an extensive network of branches and operations across India. Continued expansion of representative has brought about the need for a high caliber credit risk specialist to join their Senior Management Team in Delhi.Job DescriptionReporting to the Senior Management, you would be responsible for both credit analysis and credit risk. It would further include managing the mid office functions. You will make key decisions with regards to credit risk limits while ensuring the banks credit exposure is minimized. You will Read more […]