Job Discription
Job Your role
Are you interested in investment risk Do financial markets excite you Do you enjoy discussing risks
We’re looking for Risk Analyst to do a blended role of Credit Risk and Market Risk and have the fantastic opportunity to be part of a growing team whilst developing
yourself in market risk and credit risk management concepts. Responsibilities include:
Market Risk:
. monitoring of market risk exposures across client portfolios.
. reviewing change drivers and factors across investment risk measures including tracking error, VaR, stress, liquidity, and many more.
. provide risk analysis at the portfolio level and asset class level by determining the qualitative and quantitative factors driving change in risks and exposures across broad range of asset classes and financial instruments.
. identify, summarise and provide input on key risks and performance of funds for reporting to management.
. controlling quality and perform analytical review of the risk analytics produced such as stress, VaR modeling and testing model validation support including data gathering.
. support the review and approval of new product launches and assessment/approval of new funds and financial instruments.
Data and Analytics:
. performing investment risk reporting and analytics
. checking, validating, control the inbound/outbound flow and quality of data
. data cleansing, enriching, verification, resolution of data issues that emerge
. creating reports and views using Power BI, Tableau etc
Join us
At UBS, we embrace flexible ways of working when the role permits. We offer different working arrangements like part-time, job-sharing and hybrid (office and home) working. Our purpose-led culture and global infrastructure help us connect, collaborate, and work together in agile ways to meet all our business needs.
From gaining new experiences in different roles to acquiring fresh knowledge and skills, we know that great work is never done alone. We know that it’s our people, with their unique backgrounds, skills, experience levels and interests, who drive our ongoing success. Together we’re more than ourselves. Ready to be part of #teamUBS and make an impact
Contact Details
UBS Recruiting India
Disclaimer/Policy Statements
UBS is an Equal Opportunity Employer. We respect and seek to empower each individual and support the diverse cultures, perspectives, skills and experiences within our workforce.
Your team
You’ll be working in the Risk Control team within Asset Management in India. This global team oversees all business areas of Asset Management equities, fixed income, real estate, infrastructure, hedge fund and multi asset portfolios. You will be focusing on portfolios across these asset classes in coordination with the global asset class risk officers.
You’ll work in UBS Asset Management, a large-scale asset manager with well-diversified businesses across regions, capabilities and distribution channels. You’ll be a part of one of the leading fund houses in Europe, the largest mutual fund manager in Switzerland, and one of the largest fund of hedge funds and real estate investment managers in the world.
Diversity helps us grow, together. That’s why we are committed to fostering and advancing diversity, equity, and inclusion. It strengthens our business and brings value to our clients.
Your expertise
university degree in a numerical discipline, ideally mathematics, physics, finance or economics.
. 3-5 years of experience in the financial services industry, preferably in risk management and/or asset management.
. strong knowledge and understanding of risk management techniques including concepts such as Value-at-Risk, Portfolio Theory and Stress testing.
. great communicator and ability to respond quickly in a fast moving environment.
. self-starter, proactive and able to adapt to evolving requirements and competing priorities.
. team-orientated, while able to complete tasks independently.
. interest in international financial markets, financial investments, risk management.
. operations experience in data validation, exception handling and reporting with associated knowledge of risk management concepts advantageous.
. CFA, CAIA, FRM, PRM or equivalent education programs completed or undergoing.
. Interest in automation tools like VBA macros in MS Excel, R, Python
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