Search Results: 12,236 vacancies
...JOB SUMMARY Responsible to analyse and monitor the asset and liability side risk assessment and management in areas of Financial risk.
KEY RESPONSIBILITIES:
Investment Risk Management:
Understand and analyse the portfolio risk arising out of market movement, liquidity...
...Position Overview
Job Title: KYC/Non-Financial Risk and Control Analyst
Corporate Title: AVP
Location: Mumbai, India
Role... ...provide ground-breaking products and services in asset and wealth management. That means a career packed with opportunities to grow and the...
...inclusion and diversity of our teams is key to our success in serving our clients and the communities we operate in.
Job Title:
RISK Manager
Date:
May -2024
Department:
RISK India
Location:
Mumbai
Business Line / Function:
RISK Transversal...
...existing process and systems
•Conduct Fraud Risk Review including periodical reviews of... ...controls and process improvements to the management.
•Coordinating with various units such... .../MBA with 6 to 10 years of experience in financial fraud investigation in Banks/NBFCs.
•...
...stop solution to fullfill all your evolving financial needs through cutting edge digital... ...Market Share of 5.5%, 3000 Cr+ Assets Under Management. Head Office at Thane West, Mumbai.... ...O Shortages, GHVC)
Performing of daily risk-based activities such as GHVC, F&O Shortages...
...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...
...other source documents by SMEs (e.g. program guide, ASRQs, etc.)
Manage workflow, proactively perform required assessments, and assign... ...Diligence process for entities.
Fair knowledge of assessing Financial documents, information security, data protection, EHS policy....
Rs 25 - 30 lakhs p.a.
# Independently drive and execute projects for banking and financial services firms in the Formatted: Justified area of Asset Liability Management covering s of Lliquidity and interest rate risk management, ILAAP, Liquidity stress testing, ALM and preferably Fund Transfer Pricing...
...independently with
minimal supervision
Well Experienced in Credit/Risk
Analysis in Banks and/or NBFCs
Experience of LAP/HL/BL product
from Credit/Risk/Policy stream
Experience for managing BRE is
must
Highly proficient in MS Excel.
Experience in...
...About Wahed:
We have a passion to reduce financial inequality and exclusion by building... ...retail clients globally, starting with wealth management. We have an impressive global team... ...ensure financial compliance, and mitigate risks wherever possible.
Assist preparing reports...
...from audit/ consultant companies
Extensive track record in risk management, compliance, and audit, particularly within the electronics retail... ....
Extraordinary analytical acumen, adept at deciphering financial and operational data to unearth risks and formulate mitigation...
...About Business line/Function:
The ISPL Financial Shared Services (FSS) Platform performs... ...FSS
Job Title:
VP - Financial and Management Accounting
Date:
2024
Department:... ...Management Accounting & Reporting, Credit Risk Reporting and contribution to the Liquidity...
...convenient manner, Rupeek pioneers innovative financial products focused on monetizing India's $2... ...building gold-backed assets through low-risk, low-touch, and friction-free processes.... ...inclusivity.
Job Title: Financial Reporting - Manager
Education: CA or equivalent...
...Overview:
“Nomura is an Asia-headquartered financial services group with an integrated global... ...three business divisions: Retail, Asset Management, and Wholesale (Global Markets and... ...technology, financial control, operations, risk management and legal support have played...
...skills
Job Role:
Developing Business
Developing Financial Models
Valuations for Equity for Companies
Valuations Loans... ...Saturday off
Financial Modelling,Ms Excel
Designation: Manager-Financial Modelling
Vacancies: 2
Experience: 2.0 Year(s) -...
...Marsh is a global leader in insurance broking and risk management. In more than 130 countries, our experts in every facet of risk and across... ...business lines to develop and mature consulting practice.
Financial and Statistical Analysis:
Perform and develop a wide...
...these systems and troubleshoot end user issues.
This role will also manage the project life cycle of a number of business initiatives including but not limited to new business integration, and financial systems and process upgrades that will lead to supporting...
...~ The incumbent shall work with Process Owners to envisage the risks and
identify the controls and help them in assessing those... ...issues that may impact organization
Recommend and implement risk management policies and protocols.
Assist the process owner in...
Roles : Manager-Tech Risk+ Regulatory ComplianceExperience : 7 to 10 YearsJob DescriptionTechnical:- Having worked on Information Technology Risk Assessment areas such as -ISO27001, PCI-DSS, COBIT, etc.- Knowledge and experience on Regulatory assessments for BFSI (E.g. RBI,...
Rs 35 - 40 lakhs p.a.
...Responsibilities
1. Independently drive and execute projects for banking and financial services firms in the
areas of Liquidity risk management, ILAAP, Liquidity stress testing, ALM and FTP
2. Engage with clients (banks) at various levels and ensure project execution...