This role includes Risk Analysis, assessment, monitoring & mitigation of the clients trading portfolio across all asset classes (Equities / Currencies / FI instruments / Commodities).
Experience : 1 to 3 years
Roles & Responsibilities :
- Market Risk Monitoring
- Monitoring & mitigation of the clients trading portfolio.
- Communication and co-ordination between various stakeholders to highlight the risk & take action wherever possible
- Review of risk management policies including the quantification of our risk appetite through specific risk limits
- Branch / Business Servicing, query resolution related to Risk.
- Assess exceptions to above mentioned frameworks / policies.
- Funding approval / LAS approval
- Prepare periodic Dashboard, analysis for reporting to senior authorities.
- Process improvement & Automation.
- UAT testing and signing off the same for GO live.