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  • 1. Implementation and monitoring of risk management practices as stipulated by Sebi, AMFI and best practices from Union AMC i. Risk & Compliance Committee (RCC): preparation (stakeholder) for the risk part: 1. Monitoring and coordinating of the implementation of the Operational Risk management 2. Validation of risk management assessments 3. Reports and remedial actions on loss events 4. Reports on various KRIs 5 ...

  • 1. Risk & Pricing : - Use probabilities, stochastic processes & other math to model financial instruments & risks. - Given the nature of the business typical risks and payoffs modelled present non-linearities in the rates, borrow and dividend space - but are typically of delta1 nature (linear in the spot). - Models span across single name and portfolio level. 2. Data Analytics : - Analyze data from markets, transactions and ...

  • One of the leading Manufacturing company is looking for a VP - Finance to be based in Mumbai Qualification : CA with 15-18 years experience. Preference will be given to candidates with Manufacturing MNC experience

  • techno-commercial issues with project and legal team. Develop project Brochures, Presentations MIS reports for weekly, monthly and annual reporting. Organize meetings with client & legal to have consensus on terms of agreement and ensure the terms are understood by the clients. Coordinate new registrations

  • Apco Infratech Pvt. Ltd. Urgently Required Sr.V.P/ V.P -Finance for there Head Office at Lucknow. Person shall have minimum of 15 years of relevant experience preferably in Road Constructions Company. Qualification - C.A

  • Candidates with High Frequency or Low Latency Strategy experience will be highly preferred. - Developing mathematical models for systematic quantitative trading strategies, for example, Electronic Trading Algorithms, Index Arbitrage, Statistical Arbitrage, portfolio optimization, flow recommendation research, IOI and Market Making. - Carrying out market micro structure research and writing white papers ...

  • This is a quantitative Analytics position within the Market Risk Core Infrastructure, Model Performance & Time Series team of MR QR group with a focus on infrastructure and model performance, The role affords the new team member opportunities to gain cross-asset experience in a wide range of business areas and its product and models, while contributing to the model development for business specific as ...

  • Qualification : CA with 15-18 years experience. Preference will be given to candidates with Manufacturing MNC experience

  • - Participate in independent validation reviews across a wide range of Scenario, Stress Testing and CCAR models used throughout the bank, meeting business needs and regulatory expectations, with responsibility for investigating key aspects of each model under review, choice of modelling approach, the underlying assumptions and associated limitations, performance and optimal use of the model, etc. - Review ...

  • Vice President/ Associate - Market Risk - Quant Research - Investment Banking This is a quantitative Analytics position within the Market Risk Core Infrastructure, Model Performance & Time Series team of MR QR group with a focus on infrastructure and model performance, The role affords

  • Analyst/Associate/Vice President - Counterparty Credit Risk - Stress Testing - C++/Python The primary responsibilities for this role will include: - Implementing a wide variety of software including product payoffs, frameworks for pricing and risk management and pricing algorithms and models - - Strong C++ development skills in a numerical (scientific) programming setting. - Strong C++ design skills - Prior experience in ...

  • This position is a Quant profile to support the activities of the Quantitative Research Group (cross asset classes) & Custody & Fund Services globally sitting out in Mumbai. The QR team in Mumbai plays a critical role in providing effective, timely and independent assessments of the Firm's booking models of exotic structures and also help in developing new models for structures as and when necessary ...

  • 1. Implementation and monitoring of risk management practices as stipulated by Sebi, AMFI and best practices from Union AMC i. Risk & Compliance Committee (RCC): preparation (stakeholder) for the risk part: 1. Monitoring and coordinating of the implementation of the Operational Risk management 2. Validation of risk management assessments 3. Reports and remedial actions on loss events 4. Reports on various KRIs 5 ...

  • 1. Risk & Pricing : - Use probabilities, stochastic processes & other math to model financial instruments & risks. - Given the nature of the business typical risks and payoffs modelled present non-linearities in the rates, borrow and dividend space - but are typically of delta1 nature (linear in the spot). - Models span across single name and portfolio level. 2. Data Analytics : - Analyze data from markets, transactions and ...

  • One of the leading Manufacturing company is looking for a VP - Finance to be based in Mumbai Qualification : CA with 15-18 years experience. Preference will be given to candidates with Manufacturing MNC experience

  • Create and implement effective direct sales strategies for BFSI/Healthcare/Education Domain. Prepare monthly, quarterly and annual sales forecasts. Manage to meet/exceed monthly, quarterly and annual sales forecasts. Proven business analy

  • techno-commercial issues with project and legal team. Develop project Brochures, Presentations MIS reports for weekly, monthly and annual reporting. Organize meetings with client & legal to have consensus on terms of agreement and ensure the terms are understood by the clients. Coordinate new registrations

  • 1. Implementation and monitoring of risk management practices as stipulated by Sebi, AMFI and best practices from Union AMC i. Risk & Compliance Committee (RCC): preparation (stakeholder) for the risk part: 1. Monitoring and coordinating of the implementation of the Operational Risk management 2. Validation of risk management assessments 3. Reports and remedial actions on loss events 4. Reports on various KRIs 5 ...

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