Senior Manager / AVP- Investment & Market Risk (AMC)
Michael Page View all jobs
- Mumbai, Maharashtra
- Permanent
- Full-time
- Formulation and review of various risk & investment related policies such as Investment risk policy, Investment policy, Valuation policy etc.
- Performance and attribution analysis for Mutual fund schemes, Specialized Investment Funds (SIF), PMS, Alternate Investment Fund (AIF) and offshore funds which includes measuring return performance vs Peers, Benchmark etc.
- Validate completeness and accuracy of Data in the performance, risk and analytics tools.
- Measure and analyze key risk metrics such as Relative VaR, Factor exposure, Tracking Error, Active share, Information Ratio, duration, and Scenario analysis.
- Monitor market risk exposures across asset classes including equities, fixed income, credit, derivatives, commodities, and alternative investments.
- Monitor liquidity risk at scheme and portfolio level vis-a-via internally defined and approved liquidity model on a monthly basis.
- Creating process for identifying early warning signals and implementing process to deal with problems
- Support development and maintenance of the firm's investment risk framework and risk appetite statement
- Analyze and provide risk input on new product proposals. Provide risk input on various due diligence reports.
- Define, implement, and monitor investment risk limits regulatory as well as internal through systemic controls.
- Liaising with investment team to resolve day-to-day queries related to investment restrictions.
- Implementation, regular checks and ongoing monitoring of POMA framework as per SEBI/ AMFI guidelines including but not limited to identification and investigation of market abuse alerts.
- MBA, CA or a related discipline preferred.
- 8 to 10 years of related experience in Investment risk and Market risk.
- Prior Mutual Fund Risk Management related experience is preferred
- Sound Knowledge on Key Regulations: SEBI, Brokers, Mutual Funds, Company Act etc