Detailed Job Description
Minimum 4-6 years of experience in the market risk management domain
Working knowledge of all Trading Products (Money Market, FX, Derivatives)
In-depth ability in counterparty risk management as IPV, market conformity, collateral disputes, CVA, ...)
Demonstrable knowledge in regulatory framework (e.g. Basel II und MaRisk)
Validated ability in analytical skills, capability to understand complex products and processes
Preferred Professional and Technical Expertise
Proven technical understanding of data flows and interdependencies between various IT systems used, ideally experience with Summit; high affinity to IT systems
Proficient in client and creative communication skills (interaction with various IBM teams as well as with customers)
Ability to focus on risk and quality related aspects, reliability
In-depth understanding of SQL and typical market risk data models
Hands-on experience in Reuters Eikon and Bloomberg Terminal
Ambitious individual who can work under their own direction towards agreed targets/goals
Proven change management and be open to it good time management and work under tight deadlines
Proven interpersonal skills while contributing to team effort by accomplishing related results as needed
Maintain technical knowledge by attending educational workshops, reviewing publications

Other Skills
Proven interpersonal skills, analytical skills.,

Proven interpersonal skills, analytical skills.,

Interview Information
Job Location : Bangalore
Interview Location : Bangalore