Search Results: 1,686 vacancies
...Role: Director Risk Management (Supply Chain Finance)
Company Name : Indifi (Series D Accel Company)
Experience: 0510 Years in Risk management and minimum 2 years experience in supply chain financing
Location: Gurgaon/Bangalore
Job Objective: Set up Risk...
...$21 billion Mahindra Group. For more information, visit us at
Job Description for Senior Analyst. Risk & Portfolio Mgmt (relevant experience: 3-6 year)
finance industry has ignored billions of deserving individuals. We are a mission driven team of finance, analytics...
...Role: Director –Risk Management – Supply Chain Finance
Experience- 05-10 Years in Risk management and minimum 2 years’ experience in supply chain financing
Location – Gurgaon/Bangalore
Job Objective: Setup Risk framework/s and Polices for scaling up the Supply...
...Job Title: Risk Analyst Location: Gurgaon, Cyber Hub
About noon
noon.com is a technology leader with a simple mission: to be the best place to buy and sell things. In doing this we hope to accelerate the digital economy of the Middle East, empowering regional talent...
...Manager – Enterprise Risk Management - BFS035954
Genpact (NYSE: G) is a global professional services and solutions firm delivering outcomes... ..., and Office skills
• Bachelor’s degree/Master’s degree in Finance, Banking stream, Business or Risk Management (or equivalent...
...choice, from sourcing and processing to logistics and marketing.
Overview of the position
We have an exciting opportunity for a Risk Analyst to work in a truly global environment to handle OFI India Risk team. The role provides long term potential for someone eager...
...of the development and migration of key reporting functionality for the portfolios basis the project allocated. Manage queries between Risk Information Service and the report owners to support the production of reports changing due to a wider transformation project.
• Ensure...
Rs 10000 per month
...reflect on our strengths.
Job Purpose
To develop methodology and mechanisms to monitor and control Credit, Market and Liquidity risk within the organization and develop early warning signals for monitoring the risk profile to ensure that proactive measures can be...
...Position: Vice President - Risk Advisory
Location: Gurgaon, India
Company Overview:
Our client is a leading consulting firm... ...Requirements:
Bachelor's degree in Business Administration, Finance, Risk Management, or related field; MBA or relevant certification...
...Skillset -Model Development + SAS/Python +Banking
Responsibilities:
Helping with various aspects of model risk management (first line or second line) and regulations
Perform all required tests (e.g. – model performance, sensitivity, back-testing, etc.)
Interact with...
...details below
Position : Assistant Manager- Financial services Risk Management
Location : Bangalore/ Hyderabad/ Chennai/ Kolkata/... ...credit rating models for retail or corporate or SME or project finance portfolios
Lead review, validation and enhancement of credit rating...
...Information:
Job Title: Senior Analyst, Lead, Manager
Location: Gurugram/Bangalore/Mumbai
Nature of Job Permanent
Department Risk and Quant Solutions
About Risk and Quant Solutions (RQS)
Risk and Quant is one of the fastest growing practices at Evalueserve....
...Job Description Job Title - Manager Finance
Company Description
Vialto Partners is a market leader in global mobility services... .... Our services focus on providing cross-border compliance and risk assessment for tax, immigration, business travel, rewards and compensation...
Responsibilities:
Analyzing investment guidelines and interpret them to build logic-based rules to implement into automated investment compliance system for monitoring.
Deliver daily/monthly/quarterly compliance reports to PM team for the new violations across all investment...
...Join our Reporting, Risk, Analytics, & Platforms team in Group Treasury. You will be responsible for driving change across capital systems... ...identify any risks and mitigate them.
What you offer
~MBA (Finance) and B.Tech., with FRM/CFA preferred.
~Minimum of 8 years of...
...Limit assignment
Monitoring & meeting the acquisition vintage risk levels within the risk appetite
Defining the framework for repeat... ...CRM, Marking, Digital, and Data Science
Working closely with Finance to provide inputs for budgeting, pricing, regulators...
...Director, Enterprise Risk Consulting (ERC) - CPG050796
Genpact (NYSE: G) is a global professional services and solutions firm delivering... ...what is happening in the business and in the market
• Have finance and business insight
• Will be responsible to support...
...What we’d love :
Ability to run mandates autonomously and with minimum supervision.
Ability to strategize and assess potential risk.
Ability to coordinate with di fferent business teams, senior management, and external counsel on multiple mandates.
Excellent communication...
...Manager - Operational Risk Analyst - BFS035705
Genpact (NYSE: G) is a global professional services and solutions firm delivering outcomes... ...PowerPoint decks for senior management updates.
• Knowledge of WM/Finance domain.
• Good to have capital market experience...
...transformation solutions firm. Working collaboratively with clients in finance, audit, and compliance organizations, we co-create fully... ...accounting advisory, revenue assurance, FP&A advisory and support, risk advisory, and process automation and transformation.
We are...