Job Summary
- To ensure the Risk Management Framework is effectively communicated and implemented across the Traded Products and for administering related governance and reporting, and improvement of Group Policies and Processes
- To exercise direct Risk Control and Monitoring Ownership for Market & Traded Credit Risk across FM businesses.
Key Responsibilities
Strategy
Appraise and contribute to the development of Bank’s strategic plans and alignment with risk appetite through supporting Manco members and other executives.
Market Risk Officer
Main Objectives
- To effectively manage trading floor market risk taken by the trading floor front office staff
Monitor & control the Trading Risk profiles of both Treasury Markets and Financial Marketses and FIs
- Provide analysis of complex transactions and business proposals
- Using delegated authorities (Corps, FI, NBFI) to approve excesses, temporary and permanent limit increases for time sensitive, transaction specific requests generated by the trading floor front office staff
Primary business contact point for issues concerning Derivative Instruments (vanilla & complex), Money Markets
📌 Senior Manager, Traded Market Risk, India (Mumbai)
🏢 Standard Chartered India
📍 Mumbai
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