About the role
About the company
A leading global professional services firm with a large Financial Services practice in India, advising Indian and global banks on strategy, risk, regulation, finance and transformation.
About the role
Support the Traded Risk team on certification, control and analysis of traded risks, monitoring Global Markets and Treasury activities across multiple asset classes.
Key responsibilities
- Consolidate and certify risk indicators (VaR, SVaR, stress testing, main Greeks) and P&L
- Produce risk-indicator and daily P&L reports, highlighting significant movements for onshore managers
- Publish daily/weekly P&L breakdown reports for Front Office stakeholders
- Participate in daily risk production and generate statistical data for regular MIS
- Ensure data quality and completeness across Front Office trading and risk systems
- Support consolidated weekly, monthly and ad-hoc reporting for senior management
What we're looking for
- 3-8 years in Market Risk, Risk Reporting or Traded Risk at global banks, investment banks, Big 4 firms or GCCs
- Strong understanding of Global Markets and Treasury, VaR, SVaR, stress-testing scenarios and risk analysis
- Advanced Excel; VBA and SQL a distinct plus
- Excellent communication, presentation and synthesis skills, strong attention to detail, able to work independently
Qualification
Graduate or Post Graduate with a quantitative background (Business, Finance, Science, Mathematics or Engineering).
Notice period
Immediate to maximum 30 days.