Company Name -
Anand Rathi Global Intermediaries Limited (Stock Broker)
Company Overview
We are a SEBI-registered Trading Member and Self-Clearing Member with a focus on institutional broking, proprietary trading, and promoter group trading activities.
Role Overview
The Risk Manager leads the development, implementation, and oversight of risk management policies and daily surveillance in a prop and institutional desk environment. This individual will be responsible for real-time risk controls, regulatory margin management, exposure monitoring, and limit enforcement across all firm and group trading activities.
Key Responsibilities
Develop and implement comprehensive risk management frameworks and processes for prop, institutional, and promoter trades
Monitor exposures, P&L, and real-time risk across trading desks; implement controls to ensure compliance with SEBI, Exchange, and internal policies
Oversee margin management, position limits, scrip profiling, and fund allocation in alignment with regulatory and internal risk norms
Perform stress testing, scenario analysis, and risk analytics for large and complex positions / trades
Supervise surveillance of all client and group trades to detect anomalies, trigger alerts, and enforce action as per policy
Collaborate with front office, compliance, and technology teams to ensure system readiness for risk capture and reporting
Conduct regular reviews of risk management systems, participate in audits, and enhance processes in line with best practices
Ensure timely regulatory and internal risk reporting; present key risk exposures and action plans to management
Train desk and ops teams in risk awareness, policy updates, and compliance practices
Candidate Requirements
Graduate / Postgraduate with 5–10 years’ experience in risk management for institutional / prop broking.
Advanced understanding of capital market risk controls, margin management, position / limit monitoring, and risk reporting
Familiar with exchange systems (e.g., NMASS, OFS Portals), scrip / client profiling, and risk system tools
Analytical with hands-on skills in scenario analysis, stress testing, and exposure surveillance
Strong regulatory knowledge : SEBI, NSE / BSE, clearing and settlement framework, internal controls
Excellent communication, technology acumen, and cross-team coordination
FRM / CFA / NISM series or equivalent risk certifications
Risk Management • India