Job Description: Risk Manager
Position: Risk Manager
Industry: Stock Market Analysis/Financial Services
Shift Timing: 6:00 PM – 3:00 AM (Night Shift)
Qualification: MBA - Finance
Experience: Minimum 2 years in risk management within the stock market industry
We are looking for an enthusiastic and passionate Risk Manager who is eager to take on the dynamic challenges of the stock market industry. If you have a keen interest in identifying, analysing, and mitigating risks in financial markets, and you thrive in a fast-paced, constantly evolving environment, this is the opportunity for you. Join our team and contribute to the stability and growth of our operations in the stock market!
Skills Required:
- Proficient in MS Office (Excel, PowerPoint, Word)
- Strong analytical and problem-solving skills
- Knowledge of financial markets and risk management principles
- Detail-oriented with the ability to assess and mitigate risks effectively
Certifications:
- NISM – Series VII Mandatory
- Certified Risk Management course is preferable
Key Responsibilities:
- Risk Identification & Analysis: Analyse market trends and trading patterns to identify potential risks in trading activities.
- Risk Mitigation: Develop and implement strategies to mitigate identified risks in the stock market environment.
- Compliance: Ensure adherence to regulatory requirements and internal risk management policies.
- Risk Reporting: Prepare regular reports on market risks, exposures, and compliance for senior management.
- Collaboration: Work closely with trading and compliance teams to ensure smooth and risk-free market operations.
- Market Monitoring: Continuously monitor stock market fluctuations, trading volumes, and other market-related parameters to assess risk levels.
- Crisis Management: Be prepared to take swift actions in case of unforeseen market events or crises, minimizing risk exposure.
- Training & Guidance: Provide risk management training to junior team members and assist in their professional development.
Desired Qualifications & Experience:
- Education: MBA(Finance) or relevant qualification
- Experience: Minimum 2 years of experience in risk management, preferably in the Indian stock market or financial services industry.
- Certifications: NISM – Series VII and any certified risk management courses will be a plus.
- Skills: Strong expertise in MS Office (Excel for data analysis, PowerPoint for presentations).
- Knowledge: Familiarity with Indian and US stock market regulations and trading platforms.
Why Join Us?
- Opportunity to work in a dynamic and fast-paced stock market environment.
- Collaborative work culture with a focus on innovation and risk management excellence.
- Competitive salary and benefits package.
If you meet the above qualifications and are ready to take on exciting challenges in risk management, apply now to become part of our growing team!
How to Apply:
Mail us – [email protected]
Call on - 7666920797
Pay: ₹350,000.00 - ₹500,000.00 per year
Work Location: In person