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JOB  DESCRIPTION

 
MAIN RESPONSIBILITIES & SCOPE
 

    • Preparing and performing checks in reports to ensuring that the price risk management activities of the desk are captured timely within the trading systems and that the resultant pricing exposures carry the relevant fair values consistent with internal mark to market standards.
    • Ensuring the traders are compliant to the risk governance framework
    • Acting as a key expert in derivative related master data maintenance, including onboarding new products/brokers, extension of new trading periods and liasing with derivative brokers
    • Provide meaningful analysis and explanations for performance and risk numbers in the reports
    • Raise, investigate and follow up on issues related to data quality and content of the reports
    • Proactively evaluate weaknesses, redundancies and inefficiencies in existing processes to continuously improve productivity, accuracy and reporting capabilities
    • Providing adequate support to risk team/support stakeholders on adhoc requests
    • Preparing and performing checks in reports to ensuring that the price risk management activities of the desk are captured timely within the trading systems and that the resultant pricing exposures carry the relevant fair values consistent with internal mark to market standards.
    • Ensuring the traders are compliant to the risk governance framework
    • Acting as a key expert in derivative related master data maintenance, including onboarding new products/brokers, extension of new trading periods and liasing with derivative brokers
    • Provide meaningful analysis and explanations for performance and risk numbers in the reports
    • Raise, investigate and follow up on issues related to data quality and content of the reports
    • Proactively evaluate weaknesses, redundancies and inefficiencies in existing processes to continuously improve productivity, accuracy and reporting capabilities
    • Providing adequate support to risk team/support stakeholders on adhoc requests

 

ESSENTIAL EXPERIENCE & KNOWLEDGE

  • Relevant bachelor’s degree in quantitative discipline, preferably in economics/finance or related discipline
  • 6 to 8 years of working experience in risk management, preferably in a commodity sourcing/processing/trading environment
  • Strong ability to work on complex reporting
  • Strong understanding of trading, operations, risk and mid/back-office business processes, policies, procedures, and controls
  • Advanced grasp of trading deal structures, interpreting positions, P&L, mark to market and financial analysis

 


Salary

Competitive

Monthly based

Location

, Chhindwara, Madhya Pradesh, India, Madhya Pradesh, India

Job Overview
Job Posted:
1 week ago
Job Expire:
2h 26m
Job Type
Full Time
Job Role
Manager
Education
Bachelor Degree
Experience
5 - 10 Years
Slots...
1

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Location

, Chhindwara, Madhya Pradesh, India, Madhya Pradesh, India