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  • -Operational risk management and modelling -Understanding of end market for credit -Regulatory understanding and compliance -Experience in credit risk in an Indian bank or NBFC -Experience in handling unsecured credit products (ticket size upto 30 lakh) -Experience in digitization/ automation

  • -Operational risk management and modelling -Understanding of end market for credit -Regulatory understanding and compliance -Experience in credit risk in an Indian bank or NBFC -Experience in handling unsecured credit products (ticket size upto 30 lakh) -Experience in digitization/ automation

  • -Operational risk management and modelling -Understanding of end market for credit -Regulatory understanding and compliance -Experience in credit risk in an Indian bank or NBFC -Experience in handling unsecured credit products (ticket size upto 30 lakh) -Experience in digitization/ automation

  • 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

  • Manager/avp

    Black Turtle

    Bangalore, Karnataka

    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 ...

  • Ability to provide technical expertise to resolve daily problems Should have exposure to trading instruments like Equities, Options, Bonds, Futures, Spots and Forwards, Bank Debts and Credit Default Swaps (CDS) Should have knowledge of Corporate Actions, Income & Expense accruals, SEC Yields ...

  • to Credit Rating Agencies and following up for Rating upgradation Meeting with Analyst and Stock Brokers Mixing the Fund in order to Reduce the cost of fund Fund raising through Securitization portfolio Co-ordination with business team to ensure no ALM mismatches and responsible for organizing periodic

  • 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 ...

  • to operations, sales and credit teams on various legal and governance issues Drafting and implementation of various Board level policies required either under Companies Act, 2013 or as prescribed by the Regulator ...

  • 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 ...

  • Department : Risk Location : Mumbai Designation / Position : Manager / Senior Manager / AVP Years of Experience : 4-9 years Educational Qualification : BMS / MBA / B.E. from a reputed institute Specialized Competency / Skill : Well versed with Market Risk, Operational Risk and Credit Risk

  • Department : Risk Location : Mumbai Designation / Position : Manager / Senior Manager / AVP Years of Experience : 4-9 years Educational Qualification : BMS / MBA / B.E. from a reputed institute Specialized Competency / Skill : Well versed with Market Risk, Operational Risk and Credit Risk

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