Average salary: Rs1,567,500 /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...
...and implementing alpha seeking and market making strategies
Risk management: Oversee trading positions, implement risk controls, and... ...competitive edge.
Requirements:
~1+ years of experience in Quantitative High Frequency trading or a related field.
~ Proven track...
...Quantitative Trader/ Senior Quantitative Trader/ Algo Derivative options Trader/ Arbitrageur... ...AND RESPONSIBILITIES
» Trading in low risk options strategy using in-house platform.... ...team of Algo traders and Arbitrageurs
» Manage risk and execution across multiple Derivative...
...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...
...Overview:
Type of Employment: Fulltime
Location: Remote
As a Quantitative Clinical Researcher you will spearhead our quantitative... ...leadership and crossfunctional teams.
Excel in problemsolving managing multiple projects and tasks simultaneously.
Pursue...
...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...
...Limit assignment
Monitoring & meeting the acquisition vintage risk levels within the risk appetite
Defining the framework for... ...the transaction risk levels within the risk appetite
Portfolio management, limit management of the existing card portfolio
Monitoring the...
...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...
...Description
About this role
Business Overview
The Risk & Quantitative Analysis (RQA) group provides independent oversight of... .... RQA’s principal objectives are to advance the firm’s risk management practices and to deliver independent risk expertise and constructive...
...Patronus Research LLP is a quantitative trading firm that is steering financial markets with advanced technologies. We are looking to hire “Quantitative Researchers”. The candidate will be responsible for developing and testing automated quant trading strategies using sophisticated...
...Vice President - Enterprise Risk Management - COR028298
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,...
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...
...the opportunity?
We are recruiting for a newly formed Core Risk Management (Core RM) group, whose objective it is to advance risk... ...production processes they own.
Core RM is part of the Risk & Quantitative Analysis (RQA) group, which provides independent oversight of...
...reporting / Ad Hoc project(s) support
Handling end-to-end Vendor Management & Onboarding requests as per vendor management procedure for... ...vendor request and work with the requester
Perform Vendor Risk Assessment to assess the criticality level and assign risk rating...
...The candidate will be responsible from placement, endorsement and management of claims.
Should have thorough understanding of US market,... ...exposure.
Insurance advisory and review of Customer contract on risk exposure and related insurance clauses.
Routine training to...
...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...
Description
Principal, Quantitative Analytics and Data Science
Gartner is a people business. Fuelled by expert analysis, bold ideas... ...is for experienced researchers with a knack for product management who are interested in conducting quantitative research, analysis...