Average salary: Rs1,400,068 /yearly
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...integrated global network spanning over 30 countries. By connecting markets East & West, Nomura services the needs of individuals,... ...research, information technology, financial control, operations, risk management and legal support have played a key role in facilitating...
...Overview of the Job We are looking for an energetic and dynamic leader to build the Business and Risk Analytics capabilities for Retail Business Lending (RBL) at CredAble. He/she will be responsible for leading the Analytics unit supporting a sustainable growth of lending...
...in the economy affect businesses, industries, and the financial markets that interact with one another in dynamic and often unpredictable... ...description:
The person is expected to play a BA role for the Market Risk in Change projects
Understand the overall programme and build...
...spanning over 30 countries. By connecting markets East & West, Nomura services the needs of... ..., financial control, operations, risk management and legal support have played... ...analysis and operational activities.
Strong Analytical skills.
Excellent communication skills...
...Job Description
Market Risk Reporting (MRR) Mumbai is part of Risk Reporting & Middle Office, a group within Corporate Risk, and is responsible for reporting and analysis of market risk measures shared with internal Risk Management & external regulators; monitoring...
Rs 17 - 30 lakhs p.a.
...Reporting to the Head of Market Risk, the candidate will:
~ Work as Key resource for the management of Market Risk of the Bank (portfolios include Fixed Income, Foreign Exchange, Derivatives, Bullion etc).
~ Contribute towards the design and calibration of the Bank...
...derivative securities. Our broad and deep client relationships, market-leading platform and intellectual insights enable us to be a... ...IED ranging from those associated with sales, trading, analytics, strats to risk management.
Background on the Team
The Institutional...
...Business to provide a comprehensive view.
As an Investment Risk & Analytics - Sr. Associate within the Wealth Management (WM) Investment Risk... ..., algorithms to develop and study Scenarios for potential markets events and their impact on portfolio
Focus on innovation and...
Rs 20 - 27 lakhs p.a.
1. Market risk
~ Model lifecycle support (data preparation, development, validation, implementation in production systems, monitoring, governance)
2. Counterparty credit risk
Model lifecycle support
Models for underlying risk factors, calculation of future potential...
...Job Description
As an Investment Risk & Analytics - Senior Associate within the Wealth Management (WM) Investment Risk & Analytics (IR&A)... ...analyzing top portfolio risks and exposures, in the context of market events and emerging risks
Strive to develop a deep understanding...
...Responsibilities may include interfacing with Corporate level management. Marketing Manager JD Responsibilities: Measure & monitor performance... ...insights and provide recommendations. Utilize expertise of analytical and BI capabilities to discover patterns and trends, craft...
...Job:S&C Global Network - AI - CFO & EV - Risk Analytics
Location:Mumbai
Experience: 7-12 Years
Qualification:
Master’s degree in a quantitative discipline mathematics, statistics, economics, financialengineering, operations research or related field or MBA from...
...Job: S&C Global Network - AI - Risk Analytics - Quantexa - Consultant
Location:Bangalore, Chennai, Gurgaon, Mumbai, Hyderabad, Pune
Experience: 4-7 Years
Job Description:
Working with clients to solve business problems in the area of fraud, compliance and financial...
...Entity: - Accenture Strategy & Consulting
Team : - Global Network - Data & AI
Practice : - CFO & EV - Risk Analytics
Title : - I&F Decision Sci Practitioner Manager
Job location : - Mumbai
About S&C - Global Network : - Accenture Global Network - Data...
...Location- Mumbai
Role Description
Risk division has a fundamental responsibility... ...the management and control of credit,
market, operational and reputational risks, we have... ...industry agenda. The Global Credit
Analytics Function (GCAF) is entrusted with the work...
...In Europe, BNP Paribas has four domestic markets: Belgium, France, Italy, and Luxembourg.... ...communities we operate in.
Job Title:
RISK Manager
Date:
May -2024... ...Skills: (Please select up to 5 skills)
Analytical Ability
Ability to manage a project...
...In Europe, BNP Paribas has four domestic markets: Belgium, France, Italy, and Luxembourg.... ...Institutional and Hedge fund clients. The Risk Management function within PS&F manages the... ...mathematics or engineering with strong analytical skills. Knowledge of finance is a bonus....
...Overview
Job Title - Institutional Client Group (ICG) Client Analytics
Location - Mumbai
Role Description
The ICG client analytics... ...quantitatively with a view to identify early signals of risks / opportunities.
Socialize findings, identified opportunities...
...Location : Mumbai; for projects across India About Varahe Analytics: - Varahe Analytics is one of India's premier integrated political... ...Coordination with graphics and content teams. - Develop and handle marketing daily, weekly and monthly budget. Necessary Skills: -...
...provide a comprehensive view.
As Liquidity Risk Management – Associate you will be part... ...by monitoring evolving short-term funding markets and present conclusions to senior... ...reporting views to provide visibility and analytics into Liquidity Coverage Ratio, Net Stable...