





Tier-1 brand and metro location increase applicants, but senior specialized risk role moderates density.
Role requires specialized market-risk, regulatory and product knowledge, limiting cross-industry transferability.
Explicit 9+ years, market-risk expertise, regulatory experience and team management create strict hiring filters.
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Monitor daily market risk using VaR, Greeks, exposures, sensitivities, limits, and scenario analysis tools.
Act as subject matter expert on Rates, Structured, and FX products and associated risks, preparing risk summaries and presenting updates to senior management.
Lead regulatory initiatives (FRTB, ICAAP), engage with data teams to improve market risk data infrastructure, and maintain collaboration with Risk Management, Finance, Audit, and Technology teams.
9+ years of Market Risk experience with proficiency in risk management.
Bachelor's degree required; Engineering or Finance background preferred.
Proven experience managing a small sized team.
Proficiency in technology tools including database queries, Excel, and Python.
Strong expertise in Market Risk concepts and financial products, particularly Rates, Structured, and FX.
Demonstrated ability to advise on regulatory compliance and lead regulatory initiatives such as FRTB and ICAAP.
Experience working with Indian markets and familiarity with RBI regulations is preferred; plus experience using AI tools and prompt engineering.