Average salary: Rs1,200,000 /yearly
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Role Information
Job Title: Manager- MRM
Location: Gurgaon/ Bangalore
Nature of Job: Permanent
Department: Risk and Quant Solution
About Risk and Quant... ...master’s or bachelor’s degree in applied quantitative discipline (e.g. Econometrics, Statistics,...
...financial analytics. The group is responsible for the research and development of quantitative financial models and tools across many different areas – single-security pricing, prepayment models, risk, return attribution, optimization and portfolio construction, scenario...
...monitoring with GSIBs or Indian Banks.
Good understanding of Credit Risk Model Development steps starting with exploratory data analysis,... ...accountant/FRM with regulatory reporting background
~ Strong quantitative and analytical skills with attention to detail and accuracy...
...Purpose of Job
for Fraud Risk Management
reporting to RBI within the timelines.
to complaints of Law enforcement agencies in relation to frauds
trackers of response to LEA
of Conduit and own bank customers frauds
and implementing controls to prevent frauds...
...description: Ensuring all activities remain within mandated exposure and risk limits.
Perform risk and P&L analysis on a daily/BAU basis.... ....
Awareness of external regulation, compliance and risk management best practice.
Identify and deliver risk management advice...
...Siemens Financial Services: Senior Manager - Risk (Gurgaon)
Siemens Financial Services India is a subsidiary of Siemens AG, with a vintage of almost 13 years in India. It operates as part of Siemens AG's global financial services division, focusing specifically on innovative...
...technology, and AI.
Inviting applications for the role of Manager/ Senior Consultant/ Consultant - Risk Management (CAT Modelling)
In The position operates... .../RMS/AIR experience
. Postgraduate / Graduate in quantitative sciences
Preferred Qualifications/ Skills
....
...Purpose:
The jobholder has the following responsibilities:
To lead and manage the operational risk management framework for Aviva India Life Insurance ensuring its alignment with industry best practices, Aviva Group framework and regulatory requirements.
To proactively...
...Consultant : Risk Management (CAT Modelling)- INS023550
Genpact (NYSE: G) is a global professional services and solutions firm delivering... .../RMS/AIR experience
• Postgraduate / Graduate in quantitative sciences
Preferred Qualifications/ Skills
• Proficient...
...team and elevate your expertise in competitive programming and quantitative finance by crafting high-powered automated trading strategies... ...research in computer science, mathematical finance, and portfolio management.
Exercise the freedom to explore and implement captivating...
...Requirements:
· 3-7 years of experience in building quantitative trading strategies.
· Medium Frequency Trading.
· Experience with... ...research in computer science, mathematical finance, and portfolio
management
· Opportunity to be an integral part of a hedge fund that is...
...Manager - Operational Risk Analyst - BFS035705
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...
...this role or other open roles.
Moody's is a global integrated risk assessment firm that empowers organizations to make better... ...our annual DE&I Report at
Job Description: Assc Director, Risk Management
Goals:
. Achieve Sustainable Growth for managed clients...
...Job Title : Asst. Manager-Risk Utility
Location: Noida
About Barclays
Barclays is a British universal bank. We are diversified by business, by different types of customers and clients, and by geography. Our businesses include consumer banking and payments operations...
...Permanent
Designation - Lead Analyst/Manager
Important responsibilities in this role... ...office derivative pricing and market risk models across asset classes
• Develop and... ...Qualification:
• Bachelors/Masters in a quantitative discipline (Engineering, Maths, Physics,...
As our Product Manager I, you will work in collaboration with the Director/Associate Director of the Product and take responsibility for growing... ...system
Work on creating user profiling and creating a risk segmentation
Work closely with cross-functional teams to define...
...Our client is a global quantitative trading firm functioning across asset classes. They are team of highly skilled quant developers, researchers, mathematicians, and statistical experts. They are hiring for Quant Trader with strong experience in Indian Exchanges.
Job Responsibilities...
...way together.
Overview of the Business:
Credit and Fraud Risk (CFR) team helps drive profitable business growth by reducing... ...efforts that leverage data and digital advancements to improve risk management as well as enable commerce and drive innovation.
A single...
...the simplicity of a beautiful solution.
About The Role
Our Risk team sits at the very core of Revolut. Those special agents work... ...Finance, to Customer Support ????
We're looking for a Business Risk Manager to sit within the first line of defence at Revolut. An analytical...
...this role or other open roles.
Moody's is a global integrated risk assessment firm that empowers organizations to make better... ...clients rely on for making decisions on underwriting, portfolio management, capital management and risk transfer. The team works with exposure...