Ops & Settlement & Risk Mgmt. & Eq/ Commodity Derivatives - Kotak Institutional Equities
6 days ago
Job Role:- Seeking a professional with 4–6 years’ experience in Commodities, Risk Management, Operations, and hands‑on expertise in trade processing and settlements; additional knowledge of FnO and Currency is an advantage. Have a throughout knowledge of risk management setup of Client, Trader and at Broker level for Commodity Derivatives, Cash Equities & F&O . Setting of Risk Management - Limit and Margin monitoring of client , dealer and so on To have experience in testing Commodity Derivatives Risk Management Software is essential like Omnesys, Greeksoft &Odin etc. To have good understanding of margining mechanisms such as VAR, EWMA, SPAN and margin framework for commodity derivatives and other segments. Liaising with the vendor software development team. Work in close co-ordination with functional test team to Analyze test cases thoroughly to ensure adequate coverage of requirements. Contracting and sending Trade Confirmation / Contract notes and EOD files to custodians/clients Receipt/Payment entries for Margins, Brokerage and statutory charges. MIS reporting, Updating various masters (scrip, client, brokerage, etc.) in system Managing regulatory trade reporting obligations if any. Handling Client, Audit and Exchange Queries if any. Ensuring timely tracking and analyzing the process impact of various circulars issued by exchanges i.e. NSE, BSE, MCX and SEBI Analyzing regulatory changes and implementing the same with help of technology and other support groups. Process automations and system development as and when identified or required. The role involves a high degree of interaction with the business as well as other members of the support team and the technology project teams. Liaising with colleagues and other teams within the technology group to resolve issues and drive system enhancements. Job Requirement :- Qualifications & Experience – Any graduate or post graduate with 4 to 6 years of work experience required. Skills required – Preferably having worked on TCS Bancs back-office software and used Kambala / Omnesys / Greek for Risk Management. Excellent communication skills – written and verbal. This includes Interaction with institutional clients (foreign and domestic), exchanges, Proficiency with Windows Operating system, MS Excel, MS Word, MS PowerPoint. Candidate should be willing to work in shifts related to commodity derivatives segment
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