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  • Vachana Investments is a direct member of National Stock Exchange (NSE) and a depository participant of Central Depository Services Ltd (CDSL). We at Vachana have pioneered the concept of "Value Broking" for the 1st time ever in the broking industry. Vachana is led by CA Rudramurthy BV, a Chartered Accountant and holder of 5 Master degrees in the area of Finance. He is also the guest speaker for CNBC ...

  • We are looking for Area Collection Manager for 2 wheeler collection for Bangalore, Mangalore & Mysore. Exp:6 - 10 years Sal: 5L - 7L Area Collection Manager

  • Area Credit manager for used & new car credit. Credit under writing, credit apprisal ...

  • The team will perform research & analysis and credit management activities Corporate clients,Include Prepare Asset Writing Memos Prepare Financial Monitoring Dairy Notes Annual Review Credit Memorandums Credit management activities identified by CCM

  • Dear Candidate, We are looking for financial advisor who is fluent in Kannada and knows either Hindi or English. Any prior experience in finance is not required. The job responsibilities include: • Find prospective customers, or customer groups. • Conduct group literacy sessions and identify the interested customers • Interested in the field work and interaction with the customers • Prior experience in banking ...

  • - Manage and lead a team of professionals who would report to the position / the client on a daily / weekly / monthly or a periodic basis. - Reporting to the clients / superiors on the performance of the various schemes. - Reviewing work of the staff - Ensuring that all relevant policies and controls are adhered to, daily - Responsibility for client relationships. - Data reconciliation, exception reporting / resolution, and ...

  • letter of credit trade finance trade operation document checking letter of credit trade finance trade operation document checking

  • Relevant experience in analytics specifically in the fields like Credit Risk Modelling & Basel, Loss Forecasting / Reserving, Risk Strategy, Marketing analytics etc. Prior exposure in stress testing and / or impairment reserves. Strong understanding of consumer lending products like Credit Cards, Mortgages, Personal Loans, Overdraft, Auto Loans and Line of credit

  • Relevant experience in analytics specifically in the fields like Credit Risk Modelling & Basel, Loss Forecasting / Reserving, Risk Strategy, Marketing analytics etc. Prior exposure in stress testing and / or impairment reserves. Strong understanding of consumer lending products like Credit Cards, Mortgages, Personal Loans, Overdraft, Auto Loans and Line of credit

  • The successful candidate will be manage Financial Control staff whose responsibilities include: - Product accounting for listed derivative products (futures and options) - Reconciling and reporting the trading accounts and financial accounts for the Global Markets Listed Derivatives Business - Analytical review of the trading balance sheet and profit and loss accounts - FX exposure management, sell-off and ...

  • AVP / Manager - Business Analyst - Financial Management/Markets - Investment Bank - Candidates should have good exposure on CVA (Credit Value Adjustment). Role Purpose (overall high level summary of the role) : - Responsible for supporting the Financial Resource Management (FRM) team under Global Markets - The individual will be running various kinds of quantitative analysis to support the desk including data intensive ...

  • - Engage with model owner and developers to ensure all supporting materials required for validation is received timely, in accordance with the validation schedule; - Perform technical analyses, benchmarking, build challenger models (if needed) to support the review and challenge process for all new and existing risk models, to ensure accuracy of existing risk metrics to the standards required by and to drive ...

  • - This position will be a member of Research Team, which is responsible for developing proprietary quantitative models and strategies. The Quantitative Investment Strategist will execute research projects with the objective of improving or developing investment strategies and integrating research solutions into client portfolios. Research objectives include R&D on quantitative models, investment ...

  • - Working as a fully integrated member of the global quant team, part of the front office - Gain knowledge of the relevant global financial products - Understanding and implementing the state-of-the-art pricing models in C++ code - Working with traders and structurers to enable new trades to be executed - Interacting with risk managers and other corporate functions to explain new quant models - Learn how to ...

  • - Development of statistical and econometric models to forecast risk factors like Equity, Rates, Credit etc required for stress testing purpose - Test the models on extensive technical and fundamental criteria to ensure models are fit for purpose - Communicate complex modeling and statistical concepts to senior levels of internal management - Understanding and interpretation of data including data gathering ...

  • financial control, US GAAP, Legal Entity Control financial control, US GAAP, Legal Entity Control

  • Enable culture of continuous improvement mindset and execute initiatives/projects that improve business performance. Responsibilities include working with a LOBs in a specific Business area within Operations to implement programs and convert identified opportunities to deliver business benefit; including partnering with LOB managers/partners 10-13 Years of overall work experience including 2-3 Years ...

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