Lead real-time risk monitoring and mitigation strategies across all trading segments to safeguard assets, protect firm capital, and ensure absolute regulatory compliance.
2. Key Responsibilities & Scope of Work
Real-Time Monitoring: Oversee client margins, exposures, and MTM losses across Equity,
F&O;, Currency, and Commodity markets comprehensively.
Quantitative Modeling: Stream live F&O; data from platforms like G.E.T.s Terminal into
Excel to calculate custom ratio and delta formulas for instant risk assessment.
Volatility Analysis: Leverage Implied Volatility (IV) and market trends to forecast option price shifts and proactively adjust risk limits.
Exposure Control: Manage margin shortfalls and limit breaches; execute rapid square-offs during high-volatility events to minimize financial risk.
System Optimization: Configure RMS parameters, automate workflows,
and enforce strict adherence to SEBI and exchange guidelines.
3. Skills & Qualifications Required
Experience: 2 to 5+ years of robust experience in Capital Market Operations and Risk
Management within a stockbroking setup.
Technical Skills: High proficiency in RMS platforms, trading terminals (e.g., G.E.T.s), and advanced Excel for quantitative modeling.
Domain Knowledge: Mastery of margin frameworks, trade allocations, and complex options strategies (Greeks, Delta hedging).
Certifications: Mandatory NISM Series VII (Securities Operations and Risk Management)
certification.
Attributes: Sharp analytical reasoning and the ability to make split-second, data-driven decisions under pressure.
Pay: ₹500,000.00 - ₹900,000.00 per year
Work Location: In person
📌 Risk Management System (Mumbai)
🏢 Formix India
📍 Mumbai
Reply to this offer
Impress this employer describing Your skills and abilities, fill out the form below and leave Your personal touch in the presentation letter.