Company Overview
Enrich Money is a well-established Wealth-Tech company, renowned for its all-encompassing investment and trading platform, ORCA. Accessible via both web and mobile devices, Enrich Money holds membership with MCX, NSE, BSE, and CDSL. Our primary objective is to streamline Multi-Asset investments and bridge market gaps by offering an empowered platform that caters to a variety of asset classes.
Job Summary :
We are looking for a detail-oriented RMS (Risk Management System) Executive / Manager and Dealer with experience in the stock market domain to oversee and manage risk exposure, ensure compliance with trading policies, and safeguard the organization from financial risks. The ideal candidate will have expertise in margin management, risk analysis, and regulatory compliance.
Important Note : Candidates who do not have experience in the RMS and Dealing Desk or lack working experience in the stock market industry / domain are advised not to apply for this position .
Company : Enrich Money
Industry : Stock Market.
Location : Chennai and Coimbatore
Job Type : Full-time.
Work Environment : Work from the Office.
Work Schedule : Mon to Sat (1st Saturday of the month is a day off)
Joining Requirement : Immediate joining to 15 days is preferred.
Key Responsibilities for the RMS Role
Responsibilities :
Monitor real-time trading activities and manage client / company-level risk exposure.
Ensure compliance with SEBI, NSE, BSE, MCX regulations and internal risk policies.
Manage margin requirements, exposure limits, order limits, and turnover limits.
Identify and act on unusual trading patterns through surveillance.
Work with RMS tools and trading platforms to track exposure and automate reporting.
Coordinate with Dealers, RMs, and Finance teams for risk resolutions.
Provide daily / weekly risk reports to senior management.
Key Skills :
Strong understanding of equity, derivatives & commodities risk.
1-5 years of experience in RMS / Risk Management in a stockbroking firm.
Knowledge of exchange compliance requirements.
Experience with RMS tools (Omnesys, ODIN, NEST etc.).
Excellent analytical and decision-making skills.
Preferred Certifications :
NISM Series VIII – Equity Derivatives
NISM Series XVI – Commodity Derivatives
NISM Series VII - Securities Operations and Risk Management (SORM)
Key Responsibilities for the Dealer – Equity / Derivatives Role
Responsibilities :
Execute buy / sell orders across Equity, F&O, Commodity & Currency segments.
Handle client instructions with accuracy and ensure proper order placement.
Operate trading terminals (NEST, ODIN, Omnesys).
Provide trade confirmations and maintain logs as per compliance norms.
Monitor market depth, client positions, and real-time price movements.
Coordinate with RMS team for margin shortages and risk escalations.
Support clients in understanding trading platforms and order processes.
Key Skills :
Hands-on experience in retail or HNI dealing operations.
1-3 years of experience in the Dealing Desk in a stockbroking firm.
Strong understanding of capital markets, margins, and derivatives.
Good communication skills and accuracy in execution.
Preferred Certifications :
NISM Series VIII – Equity Derivatives (Highly Preferred / Mandatory)
NISM Series XVI – Commodity Derivatives
Key Skills & Qualifications :
Bachelor’s / Master’s degree in Finance, Economics, Business, or a related field.
Strong understanding of SEBI, NSE, BSE, and MCX regulations.
Hands-on experience with RMS software & trading platforms (e.g., ODIN, Omnesys and Kambala).
Proficiency in risk analytics, margin calculations, and compliance reporting.
Excellent problem-solving, analytical, and decision-making skills.
Why Join Us?
Opportunity to work in a dynamic environment with exposure to the Indian stock market's regulatory landscape.
Be part of a team that values innovation, integrity, and compliance.
Competitive salary and benefits package.
If you are passionate about risk management and thrive in a stock market environment, we encourage you to apply!
Dealer Market Domain • Vadodara, Gujarat, India