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Market Risk Manager India Jobs

4 Job Offers

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Senior Markets Financial Reporting Risk Manager
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Lead financial reporting risk and strengthen books & records controls for Markets Operations in Pune. Leverage 15+ years of accounting expertise to bridge Finance and Operations, ensuring robust controls and substantiation. Drive remediation and adopt strong accounting practices firm-wide in this...
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Location
India , Pune
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Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Non-Trading Market Risk Management Senior Analyst
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Join Citi in Mumbai as a Non-Trading Market Risk Senior Analyst. You will develop and monitor the 1st line risk framework for Commodity, Equity, CSRBB, and FXRBB. The role requires 5+ years in risk management, treasury, and fixed income valuation, with strong analytical and presentation skills. W...
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India , Mumbai
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Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Non Trading Market Risk Management - Vice President
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Lead the development and oversight of Citi's 1st Line Non-Trading Market Risk framework in Mumbai. This Vice President role requires 6-10 years' experience in Treasury, liquidity portfolios, and risk metrics like FXRBB and CCAR. You will drive key workstreams for Commodity, Equity, and CSRBB risk...
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Location
India , Mumbai
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Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Non-Trading Market Risk Management, Vice President
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Seeking a Vice President for Non-Trading Market Risk Management in Mumbai. This senior lead analyst role requires 6-10 years in Financial Services/Treasury, with expertise in liquidity portfolios, ALM, and Bank Owned Life Insurance. You will develop the first-line risk framework, provide key anal...
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Location
India , Mumbai
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Salary
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Explore a world of opportunity in Market Risk Manager jobs, a critical and dynamic field at the heart of the financial industry. Market Risk Managers are the sentinels of financial institutions, tasked with identifying, analyzing, and mitigating potential losses arising from adverse movements in market variables such as interest rates, equity prices, foreign exchange rates, and commodity prices. Their work is fundamental to ensuring the stability, resilience, and regulatory compliance of banks, investment firms, and other financial entities. For professionals with a sharp analytical mind and a deep understanding of financial markets, a career as a Market Risk Manager offers a challenging and rewarding path. Professionals in these roles are typically responsible for developing, implementing, and overseeing the firm's market risk management framework. This involves a continuous cycle of risk measurement, monitoring, and reporting. A core part of their daily work includes calculating and analyzing key risk metrics like Value at Risk (VaR), conducting stress testing and scenario analysis to understand the impact of extreme market events, and developing sophisticated models to quantify risk exposure. They are also deeply involved in establishing robust governance structures, defining risk appetite, and ensuring that all processes and controls are effective and well-documented. Market Risk Managers regularly prepare detailed reports and presentations for senior management, board committees, and regulators, translating complex risk data into actionable insights and strategic recommendations. The role often requires close collaboration with various departments, including trading desks, treasury, finance, and audit, to ensure a cohesive understanding and management of risk across the entire organization. They act as a key liaison, providing expert counsel on the market risk implications of new products, business strategies, and investment decisions. Furthermore, a significant aspect of the job involves staying abreast of and ensuring compliance with an ever-evolving landscape of financial regulations and supervisory requirements. To succeed in Market Risk Manager jobs, candidates typically possess a strong educational background, usually a bachelor's or master's degree in finance, economics, mathematics, or a related quantitative field. Relevant professional certifications such as the Financial Risk Manager (FRM) or Chartered Financial Analyst (CFA) are highly valued. Employers seek individuals with several years of experience in risk management, treasury, or a front-office trading environment. Essential skills include advanced quantitative and analytical capabilities, proficiency with statistical software and programming languages (such as Python, R, or SQL), and an in-depth understanding of financial instruments and the drivers of market risk. Excellent communication and interpersonal skills are paramount, as the role demands the ability to explain complex risk concepts clearly to non-specialists and to influence key stakeholders. If you are a detail-oriented problem-solver with a passion for finance, exploring Market Risk Manager jobs could be the next strategic move for your career.

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