10 Sep
|
Accenture
|
Pune
Job Title – Risk and Compliance- Manager - S&C; GN- Industry & EnterpriseManagement Level: 07 –ManagerLocation: Gurgaon, Mumbai, Bangalore, Pune, HyderabadMust have skills: Risk modellingGood to have skills: Credit risk, Market risk, Liquidity risk, market Risk, AML/ financial crimeJob Summary:- Support Accenture's CFO EV Finance and Risk practice in delivering Risk and Compliance strategy and solutions across geographies.- Advise financial and non-financial Institutions across risk management areas such as risk strategy, transformation programs, enterprise risk, portfolio management, capability maturity assessments, fraud and financial crime risk compliance.- Partner with global deal teams in selling, shaping and solution development of client deals by providing subject matter expertise on risk related topics.- Shape thought capital around current and emerging risk management topics and contribute to development of Accenture points-of-view on risk trends and issues.- Support practice development through various activities such as staffing, quality management, capability development and knowledge management.- Build strong relationships with global Accenture Risk Management teams, and develop existing relationships based on mutual benefit and synergies.Roles & Responsibilities:- Ability to lead the design and delivery of strategy, business case analysis, transformation programs, technology enablement, with respect to enterprise risk, portfolio management, capability maturity assessments, and fraud & financial crime risk compliance programs- Ability to build sales pipeline through business development and proposals- Strong business acumen and knowledge of risk management process- Ability to solve complex business problems and deliver client delight- Strong writing skills to build point of views on current industry trends- Good analytical and problem-solving skills with an aptitude to learn quickly- Excellent communication,
interpersonal and presentation skills- Cross-cultural competence with an ability to thrive in a dynamic consulting environmentProfessional & Technical Skills:- MBA from Tier-1 B-schools with specialization in risk management- 6-7yrs years of risk management experience at one or more financial services institutions, rating agency or professional services / risk advisory with an understanding of one or more of the following areas:Credit risk measurement for the purpose of financial instruments impairment and/or capital requirements calculation (PD, LGD, EAD methodologies), Credit Risk Underwriting Frameworks, Risk Based Pricing, Early Warning Systems, Credit Policy & Limit Management, Collections Frameworks, Counterparty credit risk management and experience on counterparty risk methodologies such as PFE, EPE.- Market risk measurement and management-related topics including operational processes, technologies, modelling approaches, risk aggregation and reporting, FRTB: Expected Shortfall, Default Risk Charge, NMRF;
IBOR or LIBOR Transition experience.- Operational risk management framework and methodology.- Liquidity risk measurement, reporting and management, balance sheet framework, contingency funding requirement- Hands-on experience in VaR/SVaR/IRC/CRM calculations for variety of financial instruments across Currencies, Credit, Commodities and Rates;
In-depth understandingof new/evolving regulations in the Market Risk management space including treatment of off-balance sheet exposures, proprietary trading, systemic risk, stress testing, capital calculations,
reporting standards etc.- Treasury experiences in areas such as Asset Liability Management, Fund Transfer Pricing, and Interest Rate Risk in Banking Book.- Hands-on experience in developing risk registers, conducting RCSAs, defining KRIs for risk management and control indicators, Risk Scenario Library & Analysis- Experience in managing financial crime and compliance with a focus on fraud risk management, compliance analytics, enterprise risk management (financial services and non-financial services), data analysis & aggregation, trade surveillance, robotic process automation- Enterprise Risk Management experience- Strong understanding of risk regulatory framework of one more of the major economies across globe- Knowledge of Risk Platforms such as Sungard, Murex, Sungard, Calypso, OpenPage, Fenergo, PEGA, JIRA, SAP HANA, Bloomberg, Reuters, and so on- Experience in third-party risk consulting will be preferred. Prior Risk Consulting experience at pre-eminent, global risk management consulting firms desirable- Exposure to working in globally distributed workforce environment, both onshore and offshore- Industry certifications such as FRM, PRM, CFA preferredAdditional Information:- An opportunity to work on transformative projects with key G2000 clients- Potential to Co-create with leaders in strategy, industry experts, enterprise function practitioners and, business intelligence professionals to shape and recommend creative solutions that leverage emerging technologies.- Ability to embed responsible business into everything—from how you service your clients to how you operate as a responsible professional.- Personalized training modules to develop your strategy & consulting acumen to grow your skills, industry knowledge and capabilities- Opportunity to thrive in a culture that is committed to accelerate equality for all. Engage in boundaryless collaboration across the entire organization.About Our Company | Accenture
📌 Acn S&C Gn - I&E -Finance Risk & Compliance-Cl7 (Pune)
🏢 Accenture
📍 Pune