Why Mizuho
At Mizuho, we provide the stability of an international industry leader with the career trajectory of a growing business. Our steady, strategic growth gives our people at all levels rewarding degrees of responsibility and richer work experience than a boutique firm or an established giant could offer alone.
It’s the local expertise of our employees that makes our global network so powerful. By collaborating with colleagues and clients who have the same ambition and drive, you can amplify your sphere of influence and base of knowledge as part of one of the largest—and growing—banks in the world.
Role Overview:
The Equity Market Risk Management team is a core function within Market Risk Management, responsible for the independent oversight and challenge of trading activities and for ensuring that associated risks are appropriately identified, measured, monitored, controlled, and reported. The team supports key market risk frameworks including Value-at-Risk (VaR), Stressed VaR (SVaR), FRTB, stress testing, sensitivities, backtesting, and regulatory risk reporting,
working closely with Trading, Market Risk, Quantitative Analytics, Product Control, and Risk Technology teams.
The role is primarily an Equity Risk Manager position, with responsibility for daily desk coverage, independent risk assessment, limit monitoring, challenge of trading activity, and escalation of material risks. The successful candidate will assess changes in exposures and portfolio risk, identify concentrations and emerging risk themes, engage directly with Front Office and senior risk stakeholders, and support risk appetite, governance, and regulatory processes. The role also contributes to recent product approvals, model and methodology enhancements, and market risk infrastructure change, providing broad exposure to cash equities, derivatives, volatility products, and equity financing.
Key Responsibilities:
Equity Market Risk Management
• Provide daily risk management coverage for
📌 Equity Market Risk Manager (Pune)
🏢 Mizuho
📍 Pune