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...What you’ll be doing:
Providing high quality risk assessment of reinsurance portfolios based on information provided and ensure the highest levels of exposure data accuracy, completeness, and costing support
Provide differentiated values to underwriters, resolving queries...
..., and we don’t plan on stopping yet!
The Role:
The Credit Risk function is an integral part of the business and ensures all strategies... ...a growing portfolio of lending products.
As the Credit Risk Analyst, you will be directly reporting to the Credit Risk Director of...
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...
...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...
...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...
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...
..., 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 to further...
...like to work at Evalueserve?
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Role Information:
Job Title: Senior Analyst, Lead, Manager
Location: Gurugram
Nature of Job Permanent
Department Risk and Quant Solutions
About Risk and Quant Solutions (RQS)
Risk and Quant is one of the...
...Securities is a leading proprietary trading firm specializing in quantitative trading strategies across Indian markets. With a focus on... ...opportunities and refine existing strategies.
Monitor and manage risk exposure, ensuring compliance with regulatory requirements and internal...
...business units to ensure that the confidentiality, integrity and availability risks that they are exposed to are clearly understood and appropriately managed.
The Cyber Risk and Compliance Analyst is a member of the Information Security team and the job holder is...
...experiences throughout your career to help you on the path to becoming your best professional self.
The opportunity : Analyst-FS-Business Consulting Risk-CNS - Risk - Technology Risk - Gurgaon
FS :
Amid comprehensive regulatory change, today’s financial services...
...video
Role Information
Job Title: Lead Analyst
Location: Gurgaon/ Bangalore
Nature of Job: Permanent
Department: Risk and Quant Solution
About Risk and... ...A master’s or bachelor’s degree in applied quantitative discipline (e.g. Econometrics, Statistics,...
...Join our Reporting, Risk, Analytics, & Platforms team in Group Treasury. You will be responsible for driving change across capital systems, ensuring optimal solution design for credit risk calculation.
At Macquarie, we are working to create lasting value for our communities...
...Process Developer-Credit Risk Analyst - HMS049822
Genpact (NYSE: G) is a global professional services and solutions firm delivering outcomes that shape the future. Our 125,000+ people across 30+ countries are driven by our innate curiosity, entrepreneurial agility, and desire...
...and implementing alpha seeking and market making strategies
Risk management: Oversee trading positions, implement risk controls,... ...competitive edge.
Requirements:
~1+ years of experience in Quantitative High Frequency trading or a related field.
~ Proven track record...
...different asset classes
Researching portfolio construction and risk allocation techniques - Back-testing ideas using historical tick... ..., algorithms, and problem solving
Prior experience in Quantitative research or strategy development in the algorithmic set up (desirable...
...to be used for future alpha(strategy) development
Investigate and implement state-of-the-art academic research in the field of quantitative finance
Collaborate with experienced and resourceful quantitative researchers to carry out experiments and test hypothesis...
...Requirements:
· 5-10 years of experience in building quantitative trading strategies.
· Medium Frequency Trading.
· Experience with trading in Indian Markets.
· PnL track record of live strategies with excellent metrics.
· A degree from a top Indian university (...
...around the world. We are a part of the $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...
...As a researcher, you will constantly provide sophisticated solutions to our clients, applying the highest standards of innovative, quantitative market research tools.
BRAND AND KANTAR STATEMENT
A leading research agency, we help clients to grow great brands and improve...