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  • Head would quickly expand to cover activities which are outside the core mandate of Risk Methodology, namely in the interaction with other functions like Market Risk Analysis, Portfolio Stress testing,Portfolio Management as well as Market Data and Data quality teams. Reporting line

  • Managing service centre based on standard operation procedures Channel specialisation both region/centre wise and their respective objectives should be met Team Handling & Building Interest rates Refund Process Dividend Warrant Interest Warrant Candidate should have atleast 5yrs of experience in banking operation or investment operation Age should be lessthan 38yrs Place of Posting: Navi Mumbai

  • leading projects and managing groups. Required Skills : - Quantitative ability and knowledge necessary for detailed analysis of derivative risk - Strong verbal and written communication skills - Strong understanding of C/C++/C#, Java or other object-oriented development languages. - Excel, VBA, demonstrated ability to quickly gain proficiency in custom and third-party applications - Demonstrated managerial skills ...

  • Analysis of Financial and other statements for Investment Banking proposals in the space of Structured Finance and Debt Syndication. Providing real time support for Relationship Management with promoters and teams on the Demand side (Real Estate ...

  • - Be expected to lead and manage independent validation reviews across a wide range of core Risk Capital or other business-impactful models used throughout the bank. Meeting business needs and regulatory expectations with responsibility for investigating key aspects of each model under review: Desirable: - Experience in data management and analysis or in Front Office IT would be an advantage. - Good ...

  • - Be expected to lead and manage independent validation reviews across a wide range of core Risk Capital or other business-impactful models used throughout the bank. Meeting business needs and regulatory expectations with responsibility for investigating key aspects of each model under review ...

  • of Analysts Technical Skills Strong Investment and Economic Research skills with proven expertise/in-depth knowledge of at least one asset class Adept in undertaking and articulating investment research and insights Comfortable in using Microsoft Word, Excel and PowerPoint General Skills Excellent verbal

  • and drive delivery of tools/methodologies like VaR/ERC/IRC, sensitivity analysis, scenarios. - The candidate will work on ad hoc projects, prepare deep dive risk analysis and/or stressed scenarios and present findings to others within the team, traders and senior managers. - Liaise with other departments

  • Ability to communicate logically and precisely, including writing extended documentation - Team management experience might be required/advantageous (depending on the specific role requirement ...

  • with the risk managers in the trading centres on a daily basis to help manage their market exposure, set & review risk strategies - Daily analysis and interpretation of the results of risk sensitivities and stress tests - Preparation of risk reports for traders and senior business management - Monitoring Key Skills: - Masters(MBA preferred) with strong technology skills in VBA/Excel - Fluent in English - Strong ...

  • Minimum relevant experience of 5yrs Minimum career break of 2yrs Role & Responsibilities: S/he will manage the day-to-day testing activities of the Fixed Income/Equities/Derivatives/FX, while working closely with Global stakeholders Enforce adherence to QA best practices, status and metric 5 to 8 years overall industry experience Hands-on experience of using Test Automation tools, preferably QTP Good ...

  • Actively and consistently seek an opportunity to expand share of wallet of the customer base - Maintain ongoing contact with operations in order to ensure smooth delivery of transactions. - Assist the Relationship Management Group in research and analysis on industries/ clients/ markets ...

  • Analysis of Financial and other statements for Investment Banking proposals in the space of Structured Finance and Debt Syndication. Providing real time support for Relationship Management with promoters and teams on the Demand side (Real Estate ...

  • Good Experienced in Corporate and Investment banking KYC Process- 1- The list of documents that are suppose to collect for their client 2 - How to identify fake documents Eye for detail and managing tight deadlines Good communication skills Basic knowledge of MS office Excellent analytical

  • modelling including PD, LGD and EAD analytics Experience with wholesale credit/banking book and securitisation risk modelling, stress testing & scenario analysis Familiarity with the principles of portfolio management. Effective, clear communication skills, both written & oral Highly analytical mind

  • Packs) Weekly Travel Report Other Commercial and Manpower Reporting/Metrics Headcount Management Project Allocation Re engineering Project - 2-5 years of work experience in a financial institution or financial segment of a business - Strategic thinking and influencing skills - Ability to form, execute

  • Responsibilities: The person's primary responsibility will be to assist in the implementation of the advanced approaches of Basel-II / III for the Banks wholesale portfolio The model building exercise would involve data mining, identification and modeling of risk factors, sanitizing the inputs, Skills Required: Candidates must demonstrate both a strong business sense and deep understanding of the ...

  • Responsibilities: The person's primary responsibility will be to assist in the implementation of the advanced approaches of Basel-II / III for the Banks wholesale portfolio The model building exercise would involve data mining, identification and modeling of risk factors, sanitizing the inputs, Skills Required: Candidates must demonstrate both a strong business sense and deep understanding of the ...

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