Marwadi Financial Services is looking for an experienced risk management dealer cum support executive at IT
headquarters in Rajkot. The candidate should have a basic understanding of capital markets and risk management involved
in securities trading. The candidate will report to the internet-based trading head and risk management head daily.
Requirements:
Qualification: Minimum Graduate, NISM certification (Desirable)
Experience: Minimum 2 years in broking and financial institution in dealing and risk management
Location: Rajkot-Head Office
Responsibilities:
Manage and analyze the risk and surveillance of Trading clients.
Track existing risk position, make to-market and margin and manage auto square-off terminals,
Ability to manage and recommend ways to control or reduce risk
Report regularly regarding abnormal trading activity
Manage beginning-of-the-day and end-of-the-day data backup
Prepare daily MIS and client risk reports and report to functional head
Ability to comprehend various regulatory circulars of risk management
Knowledge of software like ODIN, Omnesys and Rupeeseed etc.
Cross checking of BOD Process
Execute the process of BOD & EOD Position, Limit, holding, position
Any Shift Working.
Skills:
Understanding of Indian stock market
Understanding of margin system in F&O;, Commodity.
Valuable Accounting skills
Proficient knowledge of MS Excel, PowerPoint, and Word software.
Excellent written and verbal communication skills.
Problem Solving or Analysis skills.
Should be Accurate