Avp - Tr Model Monitoring/calibration -gsc's

2 days ago


Bengaluru, India HSBC Full time

**Some Careers grow faster than others.**

If you’re looking for a career where you can make a real impression, join HSBC and discover how valued you’ll be.

HSBC is one of the largest banking and financial services organizations in the world, with operations in 64 countries and territories. We aim to be where the growth is, enabling businesses to thrive and economies to prosper, and, ultimately, helping people to fulfil their hopes and realize their ambitions.

We are currently seeking an experienced professional to join our team in the role of **AVP - TR Model Monitoring/Calibration **.**

**What you’ll do**:
**Role Purpose**
- Wholesale and Market Risk (WMR) is the central point for matters relating to traded credit and market risk within the Group. This includes the design, development and implementation of traded credit and market risk policy and systems, generating reports & analysis on various Credit & Traded Risk metrics th enable the senior leadership & regulators to gauge the risk in a timely & accurate manner in order to take any necessary steps, if required.
- The purpose of the role is to produce consolidated Traded Credit risk, market risk and Value-at-Risk (VaR) information daily for senior Group and Global Banking and Markets executives.
- Preparation and analysis of accurate and timely daily market risk and VaR reports for senior management.
- Analyze and provide commentary on changes to risk exposures on a daily basis.
- Track the daily market risk returns from all trading entities, and liaise with regional market risk anagers and finance functions to resolve any data issues in the daily returns.
- Finalize the daily Group VaR for both internal and external reporting purposes.
- Perform daily VaR back-testing at the Group level for internal and regulatory reporting.
- Prepare monthly reports on Back-testing for the Model Validation Review meetings.
- Tracking the market risk limit excesses submitted by the sites, and the preparation and review of limit excess reports for senior management review.
- Administration of limit amendment procedures, that requires the accurate tracking and timely maintenance of regional and site limit records.
- Monthly production of material limits amendments and excesses for the Business Control Committees.
- Preparation of monthly risk management papers for the Groups RMM and the Global Banking and Markets Risk Management Committee.
- Other analyses will be needed on an ad hoc basis, and familiarity with a variety of sources of information - internal and external - is necessary. For example, analysis of data histories held on internal risk systems or Bloomberg.
- Deal promptly with ad hoc questions on risk-related information, investigate any apparent data discrepancies and resolve as necessary.

Requirements

**You’ll achieve more at HSBC



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