Liquidity Risk Associate - Chennai, India - HRM INFO

    HRM INFO
    Default job background
    Full time
    Description

    We are hiring Liquidity Risk Associate at Chennai

    Skills:

    Liquidity Risk, Risk Management, Finance, Treasury, Financial Service, Stress Testing, Python, SQL, Large Dataset, Fixed Income, Equity Markets

    Job Description

    Experience level: Mid-senior

    Experience required: 4 Years

    Education level: Bachelors degree

    Job function: Finance

    Industry: Financial Services

    JOB DESCRIPTION:

    • As a Liquidity Risk Associate for the company, you will be directly involved in the execution and ongoing implementation of the liquidity risk management framework, and supporting processes, across multiple business segments.
    • The Liquidity Risk Associate will be analyzing, designing, monitoring, and performing liquidity risk management stress scenarios and supporting the preparation of related communications for senior management and regulatory audiences.
    • The Liquidity Risk Associate, working with a distributed team comprised of technical and business risk managers will review liquidity risk metrics and processes to identify emerging risks and areas of improvement within the governance framework.
    • This role uses market and internal data, as well as quantitative techniques, to perform analyses.

    RESPONSIBILITIES:

    • Identify meaningful issues in which controls are not properly designed or operating
    • Assess the risk and control environment for process improvements within coverage areas.
    • Validate the completion of agreed action plans under the mentorship of a supervisor.
    • Understands the financial services industry and risk and control environment for coverage areas to identify new risks.
    • Produce presentation materials and present analysis to senior management and regulators
    • Design and conduct the independent assessment of liquidity risks and risk management processes
    • Participate in the development of the Liquidity Risk Policy and Procedures, and related Stress Testing program documents
    • Perform day-to-day functions contained in the unit's procedures such as researching significant increases in margin requirements, supervising trading patterns of member firms, liquidity usage, etc.
    • Provide insights to the liquidity assumptions and stress testing parameters
    • Assist company colleagues across risk management
    • Conduct independent research projects focused on liquidity risks
    • Implement improvements to existing policies and procedures documents for relevant areas
    • Align risk and control processes into day-to-day responsibilities to monitor and mitigate risk
    • Identify concerns and escalate matters appropriately
    • Participate in system development through project management responsibilities, along with a cross-business unit team.

    QUALIFICATIONS:

    • Minimum of 4 years of related experience
    • Bachelor's degree preferred with Masters or equivalent experience
    • Experience in Risk Management, Finance, Treasury, or other control functions within a financial service setting is required
    • Broad understanding of liquidity risk management and stress testing
    • Passionate in performing in-depth analysis by utilizing large dataset, Python codes and SQL.
    • Strong financial market knowledge of fixed income and equity markets
    • Excellent analytical and technical skills
    • Strong written and verbal communication

    MUST HAVE

    • Minimum of 4 years of related experience
    • Bachelor's degree preferred with Masters or equivalent experience
    • Experience in Risk Management, Finance, Treasury, or other control functions within a financial service setting is required
    • Broad understanding of liquidity risk management and stress testing
    • Passionate in performing in-depth analysis by utilizing large dataset, Python codes and SQL.

    Candidate only based at Chennai should apply for the above post.

    Notice Period - 30 days or less.