Job Details

Experience: 5 - 10 Years | Salary: Not Disclosed by Recruiter | Opening(s): 1 | Posted Date : 2016-08-26
Hiring For On behalf of A Leading Financial Institution
Job Description

Produce and review the Interest Rate Risk reports as per the set standards, which includes Economic Value of Equity (EVE) report & Net Interest Income (NII) report in agreed SLAs within Global Resourcing operating framework taking into account key operational risk
Participate in stress-testing setup and execution
Analyze business performance and provide commentaries
Timely and accurate calculation of ratios and reporting of MI in line with onshore requirements.
Re-engineering opportunities identified and implemented

Desired Profile

Qualified CA (Chartered Accountant)/CWA /CPA /CFA/ MBA (Finance)/ PGDBM-Finance with at least 5+ years of post-qualification experience or commerce graduates with at least 8+ years of experience in accounting/financial reporting, management reporting, global consolidation, financial analysis within US GAAP, IFRS and IAS reporting framework

Good knowledge of Interest rate Risk and relevant regulatory changes in a global environment preferable would be an added advantage

General understanding of financial products (specifically Retail, GB&M ) and their impact on finance operations

Basic knowledge of SQL database (preferable).

Industries TypeBanking / Financial Services / Broking
Role Chartered Accountant
Skills Operational Risk, IRR, EVE, economic value of equity, interest rate risk
Functional Area Accounts, Finance, Tax, Company Secretary, Audit
Education UG -B.Com - Commerce PG - M.Com - Commerce, MBA/PGDM - Any Specialization, CA Doctorate - Any Doctorate - Any Specialization, Doctorate Not Required
Location Gurgaon
Keywords Operational Risk, IRR, EVE, economic value of equity, interest rate risk
Contact Kanika Bhatia
Telephone 01141147662