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Hiring for Sr Analyst_market Risk Controller in Bengaluru/Bangalore, for Exp. 6 - 10 yrs at JPMorgan (Job in Kolkata)

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Job Description:J.P. Morgan is a leading global financial services firm, established over 200 years ago: o We are the leader in investment banking, financial services for consumers and small businesses, commercial banking, financial transaction processing, and asset management. o We have assets of $2.5 trillion and operations worldwide o We operate in more than 100 markets. o We have more than 243, 000 employees globally. Our wholesale businesses include J.P. Morgan s Asset Management, Commercial Banking and the Corporate & amp amp Investment Bank which provide products and services to corporations, governments, municipalities, non- profits, institutions, financial intermediaries and high- net worth individuals and families. Our corporate functions support the entire organization and include the following functions: Accounting, Audit, Finance, Human Resources, Operations, and Technology. J.P. Morgan in India provides a comprehensive range of Corporate & amp amp Investment Banking, Commercial Banking, Asset & amp amp Wealth Management, and Corporate functions services and solutions to our clients, executing some of the most important financial transactions and providing essential strategic advice to our clients such as the government, large domestic and multi- national corporations, non- government organizations and financial institutions and investors. India is a key market for JPMorgan Chase globally and our employees in India are a critical part of how we do business globally and are integrated within our businesses. Our Global Service Centers (GSCs) are strategically positioned in Mumbai, Bangalore and Hyderabad to support the firm s operations regionally and globally. The centers provide comprehensive strategic support across technology and business operations processing to all lines of business and the corporate functions. The Corporate Risk team provides a stringent governance and control framework and focuses on aggregate Firmwide exposures and risk mitigation. The Corporate Risk team supports the firm s belief in a holistic approach to risk analysis by focusing on key Risk disciplines across the individuals businesses. Disciplines include: Credit Risk, Market Risk, Principal Risk, Operational Risk, Country Risk, Model Risk, Legal Risk, Fiduciary Risk and Reputation Risk. Within the broader Risk organization the Risk Controller team is responsible for ensuring the overall integrity and validity of Firmwide Risk data. Overall the team is responsible for the following functions: Align Firmwide Risk information with external disclosures to create an integrated view of Finance & amp amp Risk. Produce SEC and External Regulatory Reporting in compliance with evolving guidelines. Lead Risk through the annual Firmwide Resolution & amp amp Recovery planning process including Firmwide crisis simulation. Provide coordinated Business and Project Management support focused on strategic business objectives. Roles & amp amp Responsibilities: As a Market Risk Controller the ideal candidate will: Influence the direction of Market Risk control processes and support the global expansion of the MarketRisk Controllers into India. Be encouraged to think creatively, challenge status quo, and motivate team members toward strategic objectives. Execute the team agenda, identify opportunity areas and influence key stakeholders across the firm within Risk Management, Regulatory Reporting, Finance, Middle Office and Technology. Qualification: Bachelor' s degree in Business, Finance or Accounting (or equivalent experience) Master s in Business Administration, CFA or other finance certifications preferred, but not required 6 years relevant experience in financial services performing finance, accounting or analytical functions Established track record of delivery in a complex environment, ability to multi- task and flex to business changes A developed leadership presence capable of effective messaging of complex systems and processes to junior team members and upper management alike. Capability of working under pressure, prioritize multiple tasks, and bring tasks to closure Ability to critically challenge with the goal of identifying control issues Excellent analytical and problem- solving skills Understanding of securities, derivatives, and/ or loan products Excellent working knowledge of MS Excel (Pivot tables, v- lookups) and PowerPoint, Microsoft Access desirable

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Posted on: Sunday, 14 May, 2017  08:45
Expires On: Sunday, 21 June, 2020  18:30

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