Try another search here
Not your type of job? Try your own search. Ok, got it

Want to receive similar jobs about "Avp Credit" by email?

Create an email notification

FiltersFilter search results

  • City
    • (13)
    • (5)
    • (4)
    • (3)
    • (1)
    • View more »
    • (1)
    • (1)
  • State
    • (16)
    • (5)
    • (4)
    • (1)
    • (1)
    • View more »
    • (1)
  • Category
    • (23)
    • (2)
    • (1)
    • (1)
    • (1)
  • Minimum Level of Studies
    • (28)
    • (28)
    • (4)
    • (4)
    • (4)
    • View more »
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (4)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
    • (2)
  • Working Shift
    • (28)
  • Posting period
    • (8)
    • (11)
    • (17)
    • (20)
    • (26)
Sort by:
  • Role Summary: Working within the Credit group, the candidate will be responsible for delivery of Daily T+1 P&L production. Ensure that risk is correctly reported and exceptions escalated Perform and review daily Risk, T+1 PnL and MIS production for various Structured Credit desks, including PnL

  • Working with Group Risk Analytics teams to understand credit risk methodology's relating to IFRS 9 Coordinating activities with Stress Testing, Sovereign Risk & Forward Economic Guidance Teams Being able to manage all levels of stakeholders Close collaboration with other global team

  • Job Purpose: This role directs the timely delivery of complex high quality, value added assurance and audit reports for a portfolio of business activities, which meet the requirements of the Boards of bank, their affiliates and of Bank's respective regulators, globally. Bank's Model Risk Governance organization is responsible for the management of model risk across the firm. The Model Risk ...

  • - Develops and executes a robust Audit Plan, by reviewable entity, for assigned businesses in accordance with Internal Audit standards, relevant government statutes and regulations and Bank policies - Delivers on time high quality audit reports, Internal Audit and Regulatory issue validation and (where appropriate, branch examinations, as well as business monitoring and governance committee reporting - Directs ...

  • - Develops and executes a robust Audit Plan, by reviewable entity, for assigned businesses in accordance with Internal Audit standards, relevant government statutes and regulations and Bank policies - Delivers on time high quality audit reports, Internal Audit and Regulatory issue validation and (where appropriate, branch examinations, as well as business monitoring and governance committee reporting - Directs ...

  • - Develops and executes a robust Audit Plan, by reviewable entity, for assigned businesses in accordance with Internal Audit standards, relevant government statutes and regulations and Bank policies - Delivers on time high quality audit reports, Internal Audit and Regulatory issue validation and (where appropriate, branch examinations, as well as business monitoring and governance committee reporting - Directs ...

  • " Manage a portfolio of large infra corporate clients with key responsibilities including advising clients on funding strategies, choose between various products ensuring maximum ROI for the Bank Responsible for deal origination, structuring, obtaining credit approvals and implementation

  • strategy behind such positioning You Offer: A good understanding of broad risk measurement frameworks, including Market Risk (e.g. VaR) or Credit Risk management as it applies to Private/Retail Banking or to Investment Banking - Knowledge of Internal Capital Models such as Economic Risk Capital

  • AVP - Quantitative Experts - Pricing Model Validation Team - Investment Bank (5-8 yrs) We are looking for Quantitative Experts for one of the Leading Investment Bank in Mumbai for the Pricing Model validation Team with 5 to 8 Years of experience Kindly apply if you have a Strong Engineering Desirable : - Experience in data management and analysis or in Front Office IT would be an advantage. - Good knowledge ...

  • We need candidates who have experience in model development and / or model validation on retail side [preferably credit risk modeling] We do not need market risk modeling CVs for a leading investment bank in Mumbai. Function Background/Context: Internal Audit is a global organization of over Qualifications and Competencies: - PhD, MSc or equivalent in Finance, Mathematics, Economics or other relevant ...

  • is expected to have good knowledge and experience on regulations governing NBFCs, SEBI & FEMA compliances in relation to Financing business, restructuring norms, SMA- JLF regulations, Fixed Income markets etc., Partnering with stakeholders within Credit & Fixed Income business unit and across the Group ...

  • Position Title : AVP/VP Department : Mid Office Business : Structured Finance Position reporting to : COO-Structured Finance No. of Direct Reports : 3 Location : Mumbai Qualification : CA/CS/Management Graduate Experience : 6-8 Years Job Purpose : Mid-Office facilitates processing

  • 1. The core task is to strategize, drive and increase trade finance business- buyer’s credit and supplier’s credit. 2. Marketing of inland and cross border trade finance products and services 3. Acquisition of new corporate clients for buyer’s credit/supplier’s credit business. 4. Deepening Minimum experience in the exact profile(sales/operations) : 2 yrs Salary will not be a constraint for the right ...

  • An experience investment banker or someone from preferably a large corporate/ Credit Rating Agencies with an experience of identifying new business, opportunities including from references, business partners, HNIs, PE Funds etc ...

  • Access, PowerPoint), VBA, R, Matlab - Strong verbal and written communication skills - Knowledge of Basel regulations - Exposure to Banking domain - Certifications such as CQF, FRM and CFA are a plus - Strong statistical knowledge is a plus - For Sr Associate / AVP - experience in risk analytics

  • R, Matlab - Strong verbal and written communication skills - Knowledge of Basel regulations - Exposure to Banking domain - Certifications such as CQF, FRM and CFA are a plus - Strong statistical knowledge is a plus - For Sr Associate / AVP - experience in risk analytics and model development

  • R, Matlab - Strong verbal and written communication skills - Knowledge of Basel regulations - Exposure to Banking domain - Certifications such as CQF, FRM and CFA are a plus - Strong statistical knowledge is a plus - For Sr Associate / AVP - experience in risk analytics and model development

  • VP/AVP Model Risk Management As a part of Model Risk Management the candidate will get exposure to modeling in a wide variety of risk areas such as credit risk, market risk, operational risk etc. The current heightened regulatory focus on these areas and the team's broader model risk scope also Desirable: - Experience in data management and analysis or in Front Office IT would be an advantage. - Good ...

Want to receive similar jobs about "Avp Credit" by email?

Create an email notification
Go to Top