- Job Purpose - Someone who can manage Liquidity Risk, Interest Rate risk. Liquidity Stock Rating, Structural Equity Statement and similar RBI related guidelines
- The role is responsible for determining the types and levels of risk to which the organization is exposed to, in order to achieve our financial objectives. The role requires close interaction with the businesses, risk experts and senior risk officers to the successfully delivery of the frameworks.
- Being the Subject matter expert and take ownership to ensure timeliness / quality of Market Data in production for respective asset Classes.
- Ensure that adequate controls are in place to ensure qualitative and timely delivery.
- Build process documentation and strengthen controls so as to create a robust environment to ensure the function meets all external and internal operating standards.
- Stakeholder Management and Leadership
- Building and maintaining relationships across the stakeholders and key contacts
- Driving continuous improvement by Initiating, leading and/or assisting in development/ implementation of targeted solutions to address infrastructure gaps or process inefficiencies.
- Ensure that all activities and duties are carried out in full compliance with regulatory requirements.
Educational Qualifications and Experience:
- Bachelor's or Master's degree in Risk Management, Law, Accounting or Business Finance with 5-10 years of experience working in financial service sectors.
- Prior experience in risk control and risk assessment will be preferred
- Strong communication and analytical skills