drjobs Global Fixed Income Currencies and Commodities - Risk - Vice President

Global Fixed Income Currencies and Commodities - Risk - Vice President

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1 Vacancy
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Job Location drjobs

Mumbai - India

Monthly Salary drjobs

Not Disclosed

drjobs

Salary Not Disclosed

Vacancy

1 Vacancy

Job Description

Description

You are a strategic thinker passionate about driving solutions in Risk. You have found the right team

As a Risk professional within our Global Fixed Income Currency and Commodity you will be responsible for setting and improving our organizational objectives and ensuring their consistent accomplishment.

Job Responsibilities

  • Develop and execute strategic initiatives for the Mumbai team to align with the global Fixed Income IDR team
  • Coordinate with various stakeholders to understand/initiate any requirement of new reporting or analytics to support risk analysis on GFICC portfolios
  • Identify and comprehend business requirement functional specifications and create automated solutions for improving efficiency
  • Lead and coach the support team in India
  • Run and maintain daily weekly and monthly risk and portfolio/market reports which could be separately managed accounts or funds. These risk reports are reported to the PMs which provide a breakdown of the various risk factors and also form the basis for risk reviews of respective strategies.
  • Be responsible for risk data compilation analysis and reporting using internal JP Morgan or external tools on a daily basis.
  • Assist with the weekly management reporting process which summarizes the strategy attribution and risk matrices.
  • Prepare and discuss in monthly management meeting regarding the risk of the portfolios.
  • Assist in quarterly review of Risk of the Fixed Income strategies.
  • Work on Ad hoc risk related project which may include but not limited to Stress testing respond to ad hoc data requests and reporting needs
  • Participate in weekly meetings infoshares or fund webcasts

Required qualifications capabilities and skills

  • Post Graduate MBA or CFA with at least 10 years of experience in financial markets with strong technical and people management skills
  • Excellent written and verbal communications skills
  • Strong quantitative and analytical skills (data analysis and ability to understand data flows). Will have to work with large databases.
  • Understanding of fixed income and the asset management business.
  • Proficiency with Microsoft Word PowerPoint and Outlook.
  • Advanced Microsoft Excel skills.
  • Python SQL and advanced VBA skills. Ability to debug Excel VBA macros;
  • Delivery focus and detailorientation with strong commitment to accuracy
  • Strong business acumen and resource management skills
  • Ability to multitask and manage priorities and time effectively.

Preferred qualifications capabilities and skills

  • Pursuing FRM or CFA would be a plus.
  • Prior knowledge to tools like Bloomberg Tableau Barra One and Risk Metrics is preferable



Required Experience:

Chief

Employment Type

Full-Time

Company Industry

About Company

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