Liquidity Risk Associate

2 weeks ago


Chennai, India Real Careers Full time

Liquidity Risk Associate

Chennai,Tamil Nadu, India - Must be local to Chennai location - Notice Period - 30 days or less.
- As a Liquidity Risk Associate for DTCC, you will be directly involved in the execution and ongoing implementation of the liquidity risk management framework, and supporting processes, across multiple business segments.
- The Liquidity Risk Associate will be analyzing, designing, monitoring, and performing liquidity risk management stress scenarios and supporting the preparation of related communications for senior management and regulatory audiences.
- The Liquidity Risk Associate, working with a distributed team comprised of technical and business risk managers will review liquidity risk metrics and processes to identify emerging risks and areas of improvement within the governance framework.
- This role uses market and internal data, as well as quantitative techniques, to perform analyses.

**RESPONSIBILITIES**:

- Identify meaningful issues in which controls are not properly designed or operating
- Assess the risk and control environment for process improvements within coverage areas.
- Validate the completion of agreed action plans under the mentorship of a supervisor.
- Understands the financial services industry and risk and control environment for coverage areas to identify new risks.
- Produce presentation materials and present analysis to senior management and regulators
- Design and conduct the independent assessment of liquidity risks and risk management processes
- Participate in the development of the Liquidity Risk Policy and Procedures, and related Stress Testing program documents
- Perform day-to-day functions contained in the unit's procedures such as researching significant increases in margin requirements, supervising trading patterns of member firms, liquidity usage, etc.
- Provide insights to the liquidity assumptions and stress testing parameters
- Assist DTCC colleagues across risk management
- Conduct independent research projects focused on liquidity risks
- Implement improvements to existing policies and procedures documents for relevant areas
- Align risk and control processes into day-to-day responsibilities to monitor and mitigate risk
- Identify concerns and escalate matters appropriately
- Participate in system development through project management responsibilities, along with a cross-business unit team

Required Knowledge, Skills, and Abilities: (Submission Summary)**:
1. Do you have a minimum of 4 years of related experience

2. Do you have a Bachelor's degree preferred with Masters or equivalent experience

3. Do you have a experience in Risk Management, Finance, Treasury, or other control functions within a financial service setting is required

4. Do you have a broad understanding of liquidity risk management and stress testing

5. Are you passionate in performing in-depth analysis by utilizing large dataset, Python codes and SQL.

6. Do you have a strong financial market knowledge of fixed income and equity markets

7. Complete Current Address?



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