Roles and Responsibilities :
- Develop and maintain Recovery & Resolution Plans (RRP), including recovery options, resolution strategies and wind-down scenarios
- Support design and execution of stress scenarios covering liquidity, funding and capital impacts
- Work closely with treasury teams to evaluate contingency funding plans and liquidity buffers
- Assess liquidity adequacy under stressed conditions, including analysis of LCR, NSFR and funding gaps
- Translate regulatory expectations into practical, implementable frameworks aligned to bank balance sheet structure
- Collaborate with stakeholders to identify, assess, and mitigate potential liquidity risks across the organization.
- Provide regular risk reports to senior management on liquidity positions, exposures, and key metrics.
- Design and implement effective treasury operations processes to optimize cash flow management.
Job Requirements :
- 3-9 years of experience in ALM (Asset Liability Management), LCR (Liquidity Coverage Ratio), NSFR or related fields.
- Prior involvement in regulatory programs, stress testing or liquidity transformation initiatives
- Experience working in a fast-paced environment with multiple priorities under tight deadlines.
- Solid domain understanding with ability to connect regulatory concepts to real-world balance sheet impact
- Hands-on experience and not limited to documentation or policy writing
- Ability to work in cross-functional environments and engage with multiple stakeholders
📌 Recovery & Resolution Planning (RRP) - Treasury / Liquidity (Mumbai)
🏢 Crisil
📍 Mumbai