





Tier-1 bank and Mumbai metro increase competition, but niche senior valuation specialization limits applicant density.
High — requires specialized valuation, IFRS and trading/product knowledge, limiting cross-industry transferability.
High due to explicit 8+ years, mandatory valuation/control experience, IFRS/SOX knowledge and preferred finance certifications.
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Oversee monthly and intra-month Independent Price Verification (IPV), fair value reserves, and prudent valuation across multiple asset classes, focusing on Rates and Credit products.
Review and manage IFRS observability framework for significant transactions, including day 1 PnL deferral and IFRS leveling.
Collaborate with Change, Quant, developers, and methodology teams for Strategic Infrastructure deployment; ensure valuation review and control processes meet internal/external standards including SOX compliance.
Minimum 8 years experience in valuation control, product control, risk management, or front office roles within financial institutions, investment banks, or buy-side firms.
Preferred educational background: degree in Mathematics, Sciences, Finance, Business, or related fields; postgraduate finance qualification (e.g., CA, CFA, FRM) is advantageous.
Proficient in MS Excel and PowerPoint; programming knowledge is a plus.
Location is Mumbai, India.
Experienced in valuation and risk management within financial institutions with strong product knowledge in fixed income, credit, and FX.
Capable of handling cross-functional partnerships including trading, finance, risk management, audits, and regulators.
Able to maintain strategic perspective while delivering detailed valuation controls and able to solve valuation-related issues creatively and efficiently.