Average salary: Rs437,500 /yearly
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...around the world. Powai’ s world class capabilities in trading support, research, information technology, financial control, operations, risk management and legal support have played a key role in facilitating Nomura’s global operations and are an integral part of Nomura’s...
...and several specialised businesses including BNP Paribas Personal Finance and Arval; Investment & Protection Services for savings,... ...our clients and the communities we operate in.
Job Title:
RISK Manager
Date:
May -2024
Department:
RISK India
Location...
...Officer (Associate)
Location- Mumbai
Role Description
Risk division has a fundamental responsibility to protect the Bank.... ...mind.
Understand the various banking products (including Trade Finance and Derivatives) and credit documentation for the same. Support the...
...Location: Mumbai, India
Role Description
Market and Valuation Risk Management (MVRM) provides an independent view of market risks... ....
Your skills and experience
~ University degree in Finance, Economics, Mathematics or other quantitative subjects.
~7+ years...
...Operational Responsibilities: Ensure continual improvement in operational risks at all levels. The position is required to adopt a partnership... ...in all COEs & enabling functions such as Facilities, HR, Finance, Procurement, IT, etc. ▪ Play the role of an enabler and simplify...
...monitoring, and presenting outcomes
Fair idea of Credit and credit risk functions
Having transformational mindset and keep thinking of... ...Valuation.
Bachelor degree required. A concentration in Finance, Economics or a related field preferred.
About Us
JPMorgan...
...measures to strengthen existing process and systems
•Conduct Fraud Risk Review including periodical reviews of key process and system to... ...monitoring reports from Audit, Collections, Customer Service, Finance, Credit, Risk, Customer Complaints for identifying red flags/ early...
...– Global Investment Bank
Years of Experience – 1- 9 years of Risk Modeling / Pricing Models of Financial Products
Location – Mumbai... ...keen to explore this opportunity with candidates in Quantitative Finance space and possessing prior Model development or Model validation...
...Responsibilities:
Validate models in accordance with client’s model risk management policy to assess model usage, documentation,... ...Qualification
d egree in mathematics, statistics, data science, finance or a relevant field.
Exp (4 to 8Years) in model development, model...
...Position Overview
Job Title: Risk Analyst/Senior Risk Analyst – Model Validation
Location: Pune
Role Description
DWS Group... ...Your skills and experience:
Strong quantitative finance skills gained through education, internships or professional experience...
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... ...for Market Risk
Qualifications& Skills :
CA or MBA (Finance) or Masters in Markets/Finance etc
Professional designations...
...excellence.
GBS is organized in a functional model consisting of Finance, Customer, Procurement, Control and Planning, People and Culture... ...digital tools, to significantly enhance are control and risk management effectiveness and efficiency.
As bp reinvents itself...
...preparation of month-end reports
•Payment processing in a multi-currency environment
•Prepare various summary reports for top level Finance management
•Provide support for the Cash Management Associate Manager
•Prepare cash flow forecasts
•Calculate inter-company...
...Job Title: Credit Risk Officer - Funds
Location: Mumbai
About Barclays
Barclays is a British universal bank. We are diversified... ...projects that improve the way millions of customers handle their finances. Be More Inspired by working alongside the most talented people...
...translate them into identification and assessment of operational risk in the products and activities performed.
· JR 2
Contributing... ...Skills (examples listed below)
•Candidate should be MBA in Finance / Chartered Accountant.
· Excellent Analytical skills with good...
Rs 25 - 30 lakhs p.a.
...Monitor market risk dedicatedly and ensure ZERO debit.
Develop system, logic and reports for efficient and risk monitoring.
Ensure to implement all regulatory changes on time with correct logic
Support Business along with managing risk.
Regulatory reporting and...
...Opportunity Employer/Disability/Veterans
Job Description
Operational Risk Management is a key component of the Compliance, Conduct and... ...in our Corporate Functions cover a diverse range of areas from finance and risk to human resources and marketing. Our corporate teams...
Job Description - Prepare asset register for piping and equipment
- Extract data required for RBI study from PFD, P&ID and other relevant documents
- Prepare data in prescribed templates for use in RBI software
- Input data in various modules of the software, as required...
...client interaction and identify appropriate SMEs for client-facing discussions
Maintain updated list of SMEs by functional area (Finance, HR, technology, R&C, Legal, etc.)
Meet with appropriate stakeholders to ensure business needs are being met and evaluating requirement...
...technological advancements and customer satisfaction, we strive to set new standards in our field.
Key Responsibilities:
Conduct risk assessments as needed.
Liaising internally with various functions for data requirements, escalations etc.
Plotting data to generate...