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13 jobs found for Business Analyst Derivatives Finance Mumbai

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  • 1. Have worked and good knowledge on Fund Accounting application for Mutual Fund, PMS, AIF and Insurance clients. 2. Co-ordinate with various stakeholders(Business, Operations, IT, Audit) for concept discussion and requirement gathering 3. Strong analysis skills and communication skills 4. Prepare

  • candidates worked/working as business analyst in LOS / LMS, Loan Origination, Loan Management along with exposure in SDLC (Software development life cycle) SQL Support & Development will only be preferred. Position 4 Only candidates worked/working as business analyst in LOS / LMS, Loan Origination, Loan

  • substantiation, i.e. obtaining requisite supports for GL accounts in line with MRP policy Preparation of regulatory disclosures Production of various MIS reports for the above businesses within agreed timelines Identify process gaps and suggest / implement improvements Cross train colleagues and create back-ups

  • of updates, news, articles and assist for investor relations Business Understanding:Debt, Banking & Forex Markets in a Manufacturing Concern Supervisor's Position: Sr GM -Finance Knowledge: Banking, Fund Raising, Foreign Exchange, Treasury Operations & Investors Relations Purpose of role:- To support

  • and performing detailed validation of risk models. Experience- - Candidates for the role in the MRM team are expected to hold a first degree in a quantitative discipline, e.g. Mathematics, Physics, Engineering, Finance, and probably a Masters or PhD. - Extensive experience in financial modeling and/or model

  • Finance, and probably a Masters or PhD. - Extensive experience in financial modelling and/or model validation,with a specific focus on Scenarios/Stress-Testing/CCAR models. Hands-on experience of risk and capital modeling, derivatives pricing and broader financial modeling is desirable, but regardless

  • He will be responsible in supporting model validation initiatives related to quantitative analytic modeling with the firm's Model Governance and Validation team. Essential Functions / Responsibilities: Serve as a key contributor and lead analyst supporting independent model validation for various

  • candidates worked/working as business analyst in LOS / LMS, Loan Origination, Loan Management along with exposure in SDLC (Software development life cycle) SQL Support & Development will only be preferred. Position 4 Only candidates worked/working as business analyst in LOS / LMS, Loan Origination, Loan

  • substantiation, i.e. obtaining requisite supports for GL accounts in line with MRP policy Preparation of regulatory disclosures Production of various MIS reports for the above businesses within agreed timelines Identify process gaps and suggest / implement improvements Cross train colleagues and create back-ups

  • of updates, news, articles and assist for investor relations Business Understanding:Debt, Banking & Forex Markets in a Manufacturing Concern Supervisor's Position: Sr GM -Finance Knowledge: Banking, Fund Raising, Foreign Exchange, Treasury Operations & Investors Relations Purpose of role:- To support

  • and performing detailed validation of risk models. Experience- - Candidates for the role in the MRM team are expected to hold a first degree in a quantitative discipline, e.g. Mathematics, Physics, Engineering, Finance, and probably a Masters or PhD. - Extensive experience in financial modeling and/or model

  • Finance, and probably a Masters or PhD. - Extensive experience in financial modelling and/or model validation,with a specific focus on Scenarios/Stress-Testing/CCAR models. Hands-on experience of risk and capital modeling, derivatives pricing and broader financial modeling is desirable, but regardless

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