Início Índia Junior Risk Analyst

Início Índia Junior Risk Analyst

Junior Risk Analyst

Full time na a Laimoon Verified Company no India
Publicado em June 13, 2024

Detalhes do emprego

Ecom Agroindustrial Corp. Ltd ranks among the leading world merchants in coffee, cotton, cocoa and sugar, operating in over 30 producing and consuming countries. We do this by remaining loyal to the traditional values upon which our company was built - integrity, dedication to growth and development of the industries and markets in which we operate, and loyalty to our clients, suppliers and employees. With a multi-generational history of innovation driven by the commitment of individuals around the globe, we know a company is only as strong as the people it employs.Role:We are looking for a Junior Risk Analyst to focus on Market & Credit Risk. The role will be in India (Bangalore) and will support the Global Risk Team based in London & Switzerland. The role will involve learning and working with our commodity products from a risk perspective and close interaction with the London and Pully risk teams. Key responsibilities: Working closely with the Senior Risk Managers and Head of Credit Risk you will be involved in:market data (futures, volatilities, differentials, futures and options dates, other price curves etc) are updated in the risk systems on a daily/weekly/monthly basisfeeds are updated correctly on a daily basis and appropriate follow up steps are taken in case of discrepanciesof daily market risk reports before London opening hoursin market and credit risks reporting and presentationsdata base management and maintenancethe Senior Risk Manager and Head of Credit Risk on several adhoc projects (for example: maintenance of the risk IT system, system changes testing, VAR calculation, data centralisation, defining new risk metrics, scorecard/KPIs definition, stress tests, etc)of reports using Qlik and Lacima dataoperational processes to improve efficiencyin reviewing market risk, credit files, country risks, etccredit risk analysis on an assigned portfolio of counterpartson day-to-day credit portfolio surveillance activitiesto prepare training materials on compliance and risksWe are looking for individuals who following profile:Degree or equivalent qualification in Quantitative discipline like Engineering, Commerce, Accountants etc. 1 to 3 years work experience in financial, commodity or consulting environment; risk related experience would be advantageousKnowledge of financial statement analysis is desirableFinancial Quantitative analysis knowledge or skills would be an advantageHighly numerical with ideally some experience of databases, modelling or Risk work through study or work experienceKnowledge of a programming language would be advantage.Diligent with attention to detailsFluent English with ideally additional European language skills but this is not essentialwith capacity to adapt to fast changing environmentto manage independently own workflow/priorities and high level of initiativebe a strong communicator able to work in a global environment and cross-functionallybe a team playerbe flexible in terms of office hours and work European hours. PRB

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