About the Role:
We are looking for an experienced Risk Management skilled to lead and strengthen our Market Risk and Margin Trading Facility (MTF) risk functions. The role will be responsible for developing robust risk frameworks, monitoring trading and client exposures, ensuring regulatory compliance, and safeguarding the organization against market-related risks while enabling sustainable business growth.
Key Responsibilities:
Market Risk Management -
- Develop, implement, and continuously enhance market risk management frameworks across Equity, Derivatives, and Margin Trading Funding (MTF) businesses.
- Monitor and assess market risk exposures arising from cash equities, futures, options, and leveraged products.
- Establish and review risk limits, exposure thresholds, concentration limits, and margin policies.
- Track key risk indicators (KRIs) and ensure timely escalation of potential risk events.
MTF & Exposure Risk Management:
- Manage client-level and portfolio-level risks associated with Margin Trading Funding (MTF).
- Define collateral eligibility, haircut frameworks,
and funding exposure limits.
- Monitor leveraged positions and ensure adequate margin coverage across client portfolios.
- Evaluate concentration risks and implement preventive controls to minimize losses.
Risk Analytics & Monitoring:
- Conduct stress testing, scenario analysis, and sensitivity assessments under varying market conditions.
- Develop risk models and analytical tools to evaluate portfolio resilience during periods of volatility.
- Analyze trading patterns, market trends, and exposure data to identify emerging risks.
- Drive automation and real-time risk monitoring capabilities across trading systems.
Regulatory Compliance & Governance:
- Ensure compliance with SEBI, NSE, BSE, Clearing Corporation, and other applicable regulatory requirements.
- Oversee risk-related regulatory reporting, including exposure monitoring, margin compliance, and CTCL reporting.
- Coordinate w
📌 Risk Management (Mumbai)
🏢 Paytm
📍 Mumbai