Be part of Valuation Control Team in covering various Financial Products. To conduct the accurate and timely valuation of financial instruments, and establishment of valuation methodologies, monitoring of market conditions, and provision of valuation insights to support financial reporting, risk management, and business decisions.
Key Responsibilities
Strategy
Be a part of Valuation Control function.
Solid knowledge of financial markets and products like Bonds, TRS, IRS, FRA, NDF’s, Options, CCS etc.
Follow and practice appropriate policies and procedures for IPV, bid offer reserves, model reserves, etc.
Independently assess the valuation and associated uncertainty of assets and liabilities within business, specifically continuing the evolution and ensuring the integrity of the IPV and Fair Value reserving processes.
Calculate AVA metrics as part of Prudential Valuation and stress Prudential Valuation framework. Ensure a robust PVA framework.
Do an independent review of Significant deals and be able to substantiate the Day1 P&L; from the same.
Conduct regular review of observability of the different market data used by Trading Desk in marking their books.
Create monthly valuation packs for Finance Committees and FO.
Follow robust controls and governance framework of Valuation Control.
Ensure back-ups are created among team members.
Be a part of ongoing training and development sessions and upskill yourself on Valuation concepts.
Be an effective team member and add value to the overall improvement of the Team.
Research market best practice and keep abreast of the evolving issues e.g., IBOR Transition, etc. that affect the valuation of the Rates business.
Train junior members of the team on BAU related activities.
Business
Effectively maintain relationships across departments and the desk.
Ability to discuss, present and explain valuation results with Team leads and senior business management.
Effectively contribute to the wider Valu
📌 Associate Manager (Bengaluru)
🏢 Standard Chartered
📍 Bengaluru
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