
FS - RISK CONSULTING - FSRM - LTS - MANAGER
- Bangalore, Karnataka
- Permanent
- Full-time
- Exposure to gap assessments, impact analysis and business readiness assessments for regulatory change management
- Demonstrate deep technical capabilities and industry knowledge of financial products
- Lead components of large-scale client engagements and/or smaller client engagements while consistently delivering quality client services
- Review work products to ensure that the team consistently delivers high quality work
- Understand market trends and demands in the financial services sector and issues faced by clients by staying abreast of current business and industry trends relevant to the client's business
- Monitor progress, manage risk, and effectively communicate with key stakeholders regarding status, issues and key priorities to achieve expected outcomes
- Play an active role in mentoring junior consultants within the organization
- Master's degree in business administration (finance, economics) with at least 8-12 years of relevant work experience
- Experience in regulatory reporting in Banks (FR 2052a/LCR/NSFR/PRA 110/AMM)
- Financial product knowledge and familiarity with liquidity concepts including stress testing metrics such as ILST and the ILAAP framework
- Experience in working in Treasury & ALM department in Banks
- IRRBB risk understanding, modelling & reporting capabilities
- Understanding of Bank's Balance Sheet and various products like loans, commitments, deposits, derivatives, etc.
- Understanding of cash flows and methods to project the cash flows (principal repayments and interest payments in futures)
- Understanding of discounting techniques and Present Value, Duration, Pv01
- Understanding of interest rate structures (fixed rates, floating rates, benchmark indexes, etc)
- Working Knowledge of FTP (Funds Transfer Pricing) methodologies benchmarking and enhancement plus FTP systems implementation support
- Regulatory understanding of IRRBB regulations (Economic Value of Equity (EVE), Net Interest Income (NII), Daily Gap, Non Traded Market Risk (NTMR), etc
- Understanding of regulatory stress testing scenarios including Recovery and Resolution Planning framework and resolution liquidity metrics such as RLEN or PRA TWD (Trading Wind-Down) capabilities including scenario design and cash flow forecasting
- Business analysis skill around documenting “As Is” model and define Target Operating Model (TOM) for various treasury and liquidity risk management processes.
- Liquidity risk policy and procedures document writing
- Ability to perform data analysis for cross report amount reconciliation. Working knowledge of SQL is a must.
- Strong problem solving and solution development skills
- Knowledge of Risk Management, Regulatory Compliance and Financial Reporting
- Ability to liaise with business and technical teams of all levels including senior management
- Automation/innovation mindset
- Professional English language written and verbal skills
- Excellent communication skills
- Certifications such as FRM, CFA
- Risk management system knowledge/experience
- Willingness to travel to meet client needs
- Previous project management experience
- QRM or equivalent solution working and modelling knowledge
- Ability to query and visualize large data (using Tableau, Qlik, Looker), perform data transformations and data analysis on large datasets
- Testing capabilities (UAT plan, UAT strategy, UAT review and sign off, etc)