
Market Risk
3 days ago
Mizuho Global Services Pvt Ltd (MGS) is a subsidiary company of Mizuho Bank, Ltd, which is one of the largest banks or so called ‘Mega Banks’ of Japan. MGS was established in the year 2020 as part of Mizuho’s long-term strategy of creating a captive global processing centre for remotely handling banking and IT related operations of Mizuho Bank’s domestic and overseas offices and Mizuho’s group companies across the globe. At Mizuho we are committed to a culture that is driven by ethical values and supports diversity in all its forms for its talent pool. Direction of MGS’s development is paved by its three key pillars, which are Mutual Respect, Discipline and Transparency, which are set as the baseline of every process and operation carried out at MGS.What’s in it for you? o Immense exposure and learning o Excellent career growth o Company of highly passionate leaders and mentors o Ability to build things from scratchKnow more about MGS: https://www.mizuhogroup.com/asia-pacific/mizuho-global-servicesJob Category:Risk Management Shift :Morning Shift Job Title:Model Risk ManagementJob Description Quantitative & qualitative analysis in model validations for pricing & risk measurement models Communication & collaboration with internal & external stakeholders Model validation documentation and reporting to stakeholders & approvers Model risk management collaboration with other MHSCG Entities, FG/BK/TB, and external parties Support for new product reviews Contribution to regulatory and audit responses Automation of routine model risk management tasks Other model risk management tasks in general Background, Ability, and Knowledge & Skills 2-3 years of experience in the use or development of models in the financial industry A graduate from a top-tier university, domestically or internationally, in fields such as physics or engineering, or an equivalent or higher level of education Knowledge of financial products and financial markets Basic knowledge of risk management in the financial industry Knowledge and skills related to artificial intelligence technologies, with the ability to implement them Willingness and ability to learn new knowledge and skills and apply them to work [Preferred Qualifications] Experience in financial markets as a trader, structurer, or quantitative analyst Experience of working or living in a global environment Research experience in a masters or doctoral program in a scientific fieldComputer Skills Proficient in using Excel and VBA p Able to create documents in English using LaTeX, Word, etc. Capable of creating presentation materials using PowerPoint Proficient in programming languages such as Python, SQL, C++, etc. Skilled in utilizing generative AI as a userCommunication Skills Able to read, write, speak, and listen in English at a business to native level Capable of delivering presentations in English Able to communicate logically and express ones thoughts without being overly concerned about the surrounding atmosphereAddress:- Mizuho Global Services India Pvt. Ltd, 11th Floor, Q2 Building Aurum Q Park, Gen 4/1, Ttc, Thane Belapur Road, MIDC Industrial Area, Ghansoli, Navi Mumbai- 400710.
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Market Risk Specialist
5 days ago
New Delhi, India Societe Generale Global Solution Centre Full timeResponsibilities: PnL Responsibilities Analysis, Validation, Commentary and Reporting of Daily Profit and Loss for Equity / Fixed Income, Equity / Fixed Income Derivatives and Hybrid Asset class.Explanation / Substantiation of Daily Profit and Loss by attributing the Profit and Loss derived from different Greeks (Delta, Gamma, Vega, Rate, Dividend, Repo...
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Market Risk Specialist
3 days ago
New Delhi, India Societe Generale Global Solution Centre Full timeResponsibilities:PnL ResponsibilitiesAnalysis, Validation, Commentary and Reporting of Daily Profit and Loss for Equity / Fixed Income, Equity / Fixed Income Derivatives and Hybrid Asset class.Explanation / Substantiation of Daily Profit and Loss by attributing the Profit and Loss derived from different Greeks (Delta, Gamma, Vega, Rate, Dividend, Repo etc.)...
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New Delhi, India Nomura Full timeNomura Overview:Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global...
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New Delhi, India Nomura Full timeNomura Overview:Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global...
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Risk Management- Market Risk FRTB
5 days ago
New Delhi, India Nomura Full timeNomura Overview: Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its three business divisions: Wealth Management, Investment Management, and Wholesale (Global...
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Associate - Market Risk (Trading)
3 days ago
New Delhi, India Nuvama Group Full timeThis 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 yearsRoles & Responsibilities:- Market Risk Monitoring - Monitoring & mitigation of the clients trading portfolio. - Communication and co-ordination between various...
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New Delhi, India Deloitte Full timeYour potential, unleashed.India’s impact on the global economy has increased at an exponential rate and Deloitte presents an opportunity to unleash and realize your potential amongst cutting edge leaders, and organizations shaping the future of the region, and indeed, the world beyond.At Deloitte, your whole self to work, every day. Combine that with our...
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Risk Reporting
5 days ago
New Delhi, India Acuity Knowledge Partners Full timeBasic InformationDepartmentSell-Side Research & OperationsLocationBangaloreExperience4-7 yearsKey ResponsibilitiesRole OverviewThe Risk Reporting Analyst plays a critical role in identifying, analyzing, and reporting financial risks associated with market activities. This role supports risk managers and senior leadership by providing timely, accurate, and...
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AVP - Risk Management
22 hours ago
New Delhi, India Mashreq Full timeJob PurposeThis role is envisaged to operationalize various aspects related to Risk review, control and monitoring. Market Risk monitoring The role is to ensure strict adherence to various regulatory guidelines and BASEL requirements related to credit risk Review & Monitoring function. This role also envisages monitoring various aspects related to market...
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AVP - Risk Management
3 days ago
New Delhi, India Mashreq Full timeJob PurposeThis role is envisaged to operationalize various aspects related to Risk review, control and monitoring. Market Risk monitoring The role is to ensure strict adherence to various regulatory guidelines and BASEL requirements related to credit risk Review & Monitoring function. This role also envisages monitoring various aspects related to market...