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Associate - Market Risk - Investment Bank (5-8 yrs)

5-8 years

Associate - Market Risk - Investment Bank (5-8 yrs)

Black Turtle

posted 15hr ago

Job Role Insights

Fixed timing

Job Description

Role & Responsibilities:

Mind Set:

Mandatory Domain:

- The individual requirements for the candidates for the roles would be strong knowledge of various derivative products across different asset class (IRS and FX derivatives, Equities, Convertible Bonds, Repo, Futures and Options, and Fixed Income), its valuation and risk calculation methodologies.

- Analytically inclined. Candidates should have good understanding of Derivative Risk Management

- Solid technical knowledge and business understanding about various risk management concepts & measures such as CE, PFE, Credit Risk RWA, VaR, Stress testing, and scenario analysis.

- Strong interpersonal skills, prior experience of stakeholder management

- Previous work experience in Financial Markets (Prime Brokerage/Equity Financing, Derivatives Trading, Market & Counterparty Credit Risk management) preferred

- Excellent PC skills with advanced competency in Microsoft Excel, Macros/VBA and Python

- Self-starter and ability to multi-task under pressure and meet various deadlines

- Strong team player and a quick learner

- FRM / CFA level 2 or above preferred

- Monitor & analyse client portfolios in terms of credit exposures (CE, PE, EE, etc.), risk profiles and margin levels and provide commentary on the drivers for the risk exposure and daily moves

- Quantify and provide appropriate haircut levels for securities financing transactions, likewise calculate initial margin for all OTC trades with hedge funds and other clients.

- Participate in margin methodology development, enhancement of existing margin models and their documentation

- Manage risks for the firm's portfolio of collateralized transactions through relevant portfolio analysis using different parameters such as credit risk metrics, VaR, stress & liquidation scenarios, etc. and its reporting.

- Understand the rules & regulations of various regulatory bodies (such as JFSA, PRA, BaFin &, SEC) applicable for Regulatory Credit Risk Exposure & Capital calculations and ensure its correct implementation for the trade portfolios.

- Work with various risk managers and other stakeholders, internal audit, model validation group to address their requests for additional analysis based on specific needs as they arise.

- Automate/Simplify/Standardize risk management processes wherever possible to create efficiency and focus on risk analysis & mitigation strategies


Functional Areas: Other

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What people at Black Turtle are saying

Associate salary at Black Turtle

reported by 1 employee with 1 years exp.
₹1.8 L/yr - ₹2.3 L/yr
73% less than the average Associate Salary in India
View more details

What Black Turtle employees are saying about work life

based on 76 employees
54%
69%
77%
100%
Strict timing
Alternate Saturday off
No travel
Day Shift
View more insights

Black Turtle Benefits

Work From Home
Team Outings
Job Training
Cafeteria
Soft Skill Training
Free Transport +6 more
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