Market Risk Associate - Risk Management
About The Job
You will be part of a team which is involves in monitoring, identifying and measuring the risks and exposure of the company.
The job responsibilities are:
- Quantifying the risk of any potential loss due to market changes. Eg: interest rates, fluctuation in equity or commodities prices.
- Ensuring that the market risk framework is appropriately and consistently applied
- Monitoring of the Company's overall exposure in Futures
- Assisting the HOD in the preparation of periodic management reports
- Initiate and propose improvements to increase efficiency and productivity of the team
Skills And Experience Required
- Bachelor's Degree in a finance related discipline. Professional certifications like CFA/FRM are desirable but not compulsory
- Min. 1-2 years of experience in Market and Liquidity risk
- Technically strong in Market Risk and Pricing model validation
- Strong product knowledge in FX, Futures, Commodities and Derivatives
- Analytical and Meticulous
- Team player with good interpersonal skills
- Positive attitude towards changes and process improvement
- Knowledge of Janus RMS will be advantageous