
Market Risk
2 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 Mizuhos long-term strategy of creating a captive global processing centre for remotely handling banking and IT related operations of Mizuho Banks domestic and overseas offices and Mizuhos 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 MGSs 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.
Know more about MGS:
Whats in it for you?
- Immense exposure and learning
- Excellent career growth
- Company of highly passionate leaders and mentors
- Ability to build things from scratch
Job Category: Risk Management
Shift : Morning Shift
Job Title: Model Risk Management
Job Description
Quantitative & qualitative analysis in model validations for pricing & risk measurement models
Quantitative & qualitative analysis in model validation for other types of 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
Contribution to scope expansion of model risk management
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 field
Computer Skills
Proficient in using Excel and VBA 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 user [Preferred Qualifications]
Experience as a white-hat hacker or knowledge of cybersecurity
Knowledge of financial crimes or operational risks
Communication 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 atmosphere
Address: -
Mizuho Global Services India Pvt. Ltd.
Level 11, Building-Q2, Aurum Q Parc,
Thane-Belapur Road, Ghansoli,
Navi Mumbai , India.
-
Market Risk
2 weeks ago
Navi Mumbai, Maharashtra, India Mizuho Full time ₹ 15,00,000 - ₹ 25,00,000 per yearMizuho 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...
-
Manager - Market Risk
3 days ago
Navi Mumbai, Maharashtra, India Utkarsh Small Finance Bank Full time ₹ 15,00,000 - ₹ 20,00,000 per yearRole & responsibilitiesPreparation of ALCO note & RMC note, presenting it to seniorsReview of working of LCR and NSFR on a regular basisCalculation of Structured liquidity statement and interest rate sensitivity as per regulatory requirementReview and monitoring of counter party limitReview and monitoring of mid-office reportPreparation of all required data...
-
Market Risk
2 weeks ago
Mumbai, Maharashtra, India Skillventory Full timeJob DescriptionThe role holder is responsible to measure, monitor & analyze Market Risk for Trading Book of the bank and sensitize FinancialMarket Team /ALCO/RMC on possible excesses of the limits through computation/analysis of various risk parameters e.g.VaR, NOOP, AGL, Stress testing etc.Core Responsibilities- Good understanding of Financial market...
-
Market Risk
2 days ago
Mumbai, Maharashtra, India Yes Bank Full time ₹ 15,00,000 - ₹ 20,00,000 per yearROLE SUMMARYThe role holder is responsible to measure, monitor & analyze Market Risk for Trading Book of the bank and sensitize Financial Market Team /ALCO/RMC on possible excesses of the limits through computation/analysis of various risk parameters e.g. VaR, NOOP, AGL, Stress testing etc.SECTION III: KEY RESPONSIBILITIES/ ACCOUNTABILITIESStrategic/...
-
Assistant Vice President- Market Risk
2 days ago
Navi Mumbai, Maharashtra, India Utkarsh Small Finance Bank Full time ₹ 15,00,000 - ₹ 25,00,000 per yearRole & responsibilitiesPreparation of ALCO note & RMC note, presenting it to seniorsReview of working of LCR and NSFR on a regular basisCalculation of Structured liquidity statement and interest rate sensitivity as per regulatory requirementReview and monitoring of counter party limitReview and monitoring of mid-office reportPreparation of all required data...
-
Market Risk Analyst
1 week ago
Mumbai, Maharashtra, India BNP Paribas Full time ₹ 15,00,000 - ₹ 25,00,000 per yearPosition PurposeThe mission of RISK Markets & Financial Institutions (RISK MFI) is to provide Senior Management of the Group, of the RISK Function and of Global Markets (GM) with full transparency and dynamic analysis with respect to the market, counterparty, valuation and liquidity risks originated and managed by CIB GM, in order to assist them in their...
-
BA Market Risk
2 weeks ago
Mumbai, Maharashtra, India Genpact Full time ₹ 12,00,000 - ₹ 36,00,000 per yearInviting applications for the role of Business Analyst with Market Risk-ManagerIn this role, role you will be responsible to provide a single point end to end accountability for the project oversight, reporting to project management team, establish working relationship with technology partners etc. We are seeking an experienced Agile Business Analyst (BA)...
-
Legal Entity Market Risk
3 days ago
Mumbai, Maharashtra, India JPMorganChase Full time ₹ 15,00,000 - ₹ 30,00,000 per yearJob Summary: J.P. Morgan is seeking talented candidates for a Vice President level position in Legal Entity Market Risk team, based in Mumbai. Market Risk is an independent risk group, overseen by the Corporate Investment Bank Chief Risk Officer, which measures, monitors and controls market risk. Within Market Risk department, Legal Entity Market Risk team...
-
Credit Risk Manager
3 days ago
Navi Mumbai, Maharashtra, India Sharekhan Full time ₹ 9,00,000 - ₹ 12,00,000 per yearRole & responsibilitiesCredit Risk monitoringPortfolio analysisClient profilingUnderstand market & credit riskExperience of LAS risk monitoring & underwritingReview, modify, draft policies and processes, based on requirement, regulatory guidelines etc.Publishing of approved list of securities and applicable haircuts, based on detailed review of various...
-
Mumbai, Maharashtra, India Virtusa Full time ₹ 15,00,000 - ₹ 25,00,000 per yearRole Overview: - Demonstrate broad expertise in Financial (Credit, Market, Liquidity) risk, Operational risk, and enterprise risk management. - Manage end-to-end project implementation and cross-functional stakeholder management. - Focus on agile project delivery. - Act as a seasoned business analyst with a strong track record in requirements analysis,...