
Frtb Ima Implementation Gsc's
2 weeks ago
-Job description
**Business**:Traded Risk
**Role Title**:FRTB IMA Implementation GSC’S
**Open positions**:1
**Global Career Band**:4
**Location **_(Country / City )_**:Bangalore
**Recruiter Name**:Shubhangi Masih
**The Opportunity**:
**What you’ll do**:
**Principal Accountabilities: Key activities and decision-making areas Typical KPIs and Targets**
- Support the Global head of regulatory and capital implementation.
- Supervise and provide guidance in the execution phase making sure that the requirements are fulfilled and that main milestones of deliveries are fulfilled.
- Liaise with stakeholders in Traded Risk such that FRTB deliveries is in line with the expectations from stakeholders.
- Liaise with stakeholders from FRTB Programme such that issues are timely escalated and a path to resolution is found.
- No adverse regulatory or internal audit feedback on the operational readiness stream. Control process is in line with internal and external regulation (PRA, SOx, KPMG, etc.)
**Customers / Stakeholders**
- Market Risk Management and analysts
- Front Office Desks across all asset classes
- Regulatory & Risk Analytics (GRA)
- Independent model review (IMR)
- Global Wholesale Credit & Market Risk
- Group Risk Technology
- Regulatory policy team
**Leadership & Teamwork**
- Work effectively with Traded Risk, GRA and regulatory finance and FRTB Programme
- Ensure Regional\Global team provides the right level of value and that they support the proposed changes
- Ensure that the stream is integrated into all relevant parts of the Group and that a collegiate approach is taken to solving issues, building businesses, and achieving target returns
- Regular and positive communication through conference calls, meetings, visits
- Build good relationships with the teams that will be in charge with the production of these numbers as well as the consumers of these numbers.
**Operational Effectiveness & Control**
- Implementation of effective processes & systems supporting risk strategy.
- Maintain cost discipline, rationalize and consolidate Risk expense
- Ensure that the effectiveness of Internal Control activity is properly monitored
- Ensure risk model monitoring / oversight is effective and appropriate
- To implement the Group Compliance Policy by managing compliance risk in liaison with Regional Global Compliance ensuring adequate compliance resources are in place and training is provided, fostering a compliance culture and optimising relations with regulators
- Early reporting/escalation of risks/issues monthly senior management.
- Improved processes related to approvals, administration, controls & monitoring; tailored risk systems and monitoring of complex activity
- Achievement of Satisfactory or better internal audit classifications
**Major Challenges**
- Large number of sites, organizational structures and individual markets with varying degrees of activity from highly complex to vanilla in potentially very volatile markets
- Strength of conviction in face strong opposition / pressure from first line teams to weaken the standard of controls due to the time pressure
- Commercial judgment & experience to anticipate & address fast paced changes in market conditions & strategies
- Strong management & motivation skills to actively communicate & build risk awareness across the region
- Tight deadlines for submission
Requirements
**What you will need to succeed in the role**:
**Qualifications**
Experience & Skills
Must have:
- FX and EQ derivatives product and associated pricing methods knowledge
- Understanding of capital calculation, eg VaR, tail risk
- Python as a core language for development
- SDK and IDE experience and good practices, e.g. using git, github, VSCode / pyCharm, commenting code at scale.
- Experience using pytorch for deep learning modelling/inferencing (with CPU and/or GPU)
- Some experience on code optimisation that you can share
- An understanding of product development and ownership, desire to move fast and make a difference with state-of-the-art technology and data science
- One successful Proof-of-Concept story to share where you had a material impact (it can be about a PoC related to financial markets or not at all)
- An understanding of what code productionisation requires and the challenges associated, e.g. optimisation, w.r.t timelines
The following experience / skills would be of benefit:
- User interfaces, e.g. one of the following PyQt5, Tkinter, Kivy, PySimpleGUI, Libavg, Gradio or another UI toolkit of your preference
- Knowledge/interest on document processing related algorithms / models, with a focus on:
- computer vision related to document processing (e.g. convnets, openCV) ,
- NLP models to process text (e.g. Transformers related models applied to tasks such as summarization, comparison, generation)
- Document files parsing tools (e.g. xls/csv to dataframes, pdf to text, OCR) and generation tools (e.g. text to HTML, text structures to Latex)
- Experience wit
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