Master s Degree in Finance/Economics or Bachelor s Degree in Finance / Economics with relevant work-ex and certification.
Bachelor s Degree in other Streams is also fine as long as candidate possesses relevant Finance courses and Statistics knowledge.
Experience with systems and process based risk reporting and analysis.
Excellent Microsoft EXCEL skills (prior hands on experience in VBA scripting skill is added advantage).
Professional qualification with degree in Computers/ Engineering / Finance / Accounting.
Ability to work as an individual contributor as well as work with team.
Good stakeholder management skills.
Strong knowledge of derivative products and their market risk dynamics.
Understanding of end-to-end market risk scenarios process framework and workflow for Rates, FX, Equity, Commodity, Credit and EMG businesses.
Propose, calibrate implement business cluster / regulatory specific scenarios in liaison with individual clusters / global scenarios team.
Deliver detailed scenario risk reports analysis to Market Risk Managers / Enterprise Risk Managers / Trading desks / Business clusters / Higher management.
Analyze comment on scenario risk moves for respective business clusters explaining underlying risk dynamics drivers under market scenario conditions.
Interact with scenario counterparts who are primarily the business clusters/desk to provide in-depth analysis on the market risk scenario dynamics.
Keyskills: Excel PDF Risk Analyst Market risk Banking Workflow Management Analyst 2 Stakeholder management Financial services
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