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3-6 years
Assistant Manager - Risk Assurance - Financial Services (3-6 yrs)
T D Newton & Associates
posted 1 day ago
Fixed timing
Key skills for the job
Assistant Manager - Risk Assurance - FS Germany
Location - Mumbai
Job title- Assistant Manager - Risk Assurance
WFO-Hybrid Model
Roles & responsibilities
- With your specialist knowledge you will evaluate the adequacy and effectiveness of the implemented risk management processes, methods and models.
- You will check compliance with legal and regulatory requirements and support our clients in implementing risk management regulations.
Qualifications
Educational qualifications:
- Bachelor's or Master's degree in Business Administration, Finance, Mathamatics, natural sciences or a related field.
Work experience:
- The candidate must have 3+ years of experience in a client facing environment working . Experience or exposure to Big4 accounting firms is advantageous
- Deep understanding of core business models of banks and bank-specific products
- Understanding of risk control/risk management processes in banks and companies in the financial sector
- Experience with the processes and methods relating to risk inventory and strategy as well as risk-bearing capacity (incl. capital planning) and stress testing
Experience with at least 1-2 of the following:
- Credit risk controlling/management, especially limit systems and credit portfolio modelling
- Market risk controlling/management, e.g. the modelling of interest rate risk, credit spread risk, FX risk etc.
- Liquidity risk controlling/management, e.g. limit systems, liquidity stress scenarios, deposit modelling, intraday liquidity modelling
- Management of non-financial risks e.g. self-assessment processes, OpVaR modelling, reputational risk and/or risk culture
- Controlling/management of other risks, e.g. ESG-risks, business risk etc.
- Model validation processes and/or model risk management
- Risk data aggregation and reporting processes (BCBS 239)
- Ability to prepare insightful and precise work-done memorandums as well as audit reports adhering to regulatory standards under tight timelines
- Knowledge of international regulatory risk frameworks, e.g. Basel framework, or EU regulation, such as CRR, ECB Guides, EBA Guidelines etc. (nice to have)
Functional Areas: Accounting/Finance
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