MI

Risk Management Specialist

MONEYLICIOUS INVESTMENTS AND CONSULTING SERVICES PRIVATE LIMITED

19 days ago

Expires on21 Dec 2025

India

Job description & requirements

Job Title: Sr. Executive –RMS

Department: Risk & Compliance

Location: Mumbai

Reporting To: Head – Risk / Compliance

Experience Required: 3 – 5 Years in Capital Market Risk Function

CTC -Upto 6 LPA


Role Objective

To ensure real-time monitoring and management of market risk, credit risk, operational risk and regulatory risk for the stock broking operations in line with SEBI, NSE, BSE & Clearing Corporation norms.


Key Responsibilities

  1. Trading Risk Oversight
  • Monitor client positions, margins, MTM losses, limits, exposures & risk parameters across segments (Cash, F&O, Currency, Commodity).
  • Manage real-time exposure control using RMS systems.
  • Configure and periodically update RMS rules (SPAN + Exposure + VAR + Additional Margins).
  1. Client Risk Assessment
  • Assess client credit profiles and define trading limits.
  • Approve or decline requests for limit enhancements based on documentation & funding patterns.
  • Ensure compliance with client-level regulatory risk requirements.
  1. Market & Product Risk Monitoring
  • Track volatility, corporate actions, F&O expiries, concentration risk, and illiquid position risks.
  • Liaison with Dealers, Branches & Relationship Managers during market fluctuations.
  1. Regulatory & Compliance Management
  • Ensure adherence to SEBI, Stock Exchange, and Clearing Corporation Risk norms.
  • Review alerts from internal surveillance systems.
  • Prepare reports for Internal Auditors, Exchange Inspections and Statutory Audits.
  1. Operational Controls
  • Coordinate with Tech Team for RMS parameter configuration.
  • Ensure correctness of margin files, limit files and pay-in/pay-out instructions.
  • Monitor DP stock shortages and pledge/unpledge process under TM/CM POA and MTF framework.
  1. Reporting & Escalation
  • Maintain MIS on exposures, margin shortfalls & client risk breaches.
  • Escalate high-risk situations to Senior Management promptly.


Key Skills Required

  • Strong knowledge of Equity & Derivatives markets
  • Expertise in Span/Exposure/Margin systems
  • Experience working on CTCL/Trading risk systems (e.g., NEAT, ODIN, BOW, etc.)
  • Data analysis skills (Excel, Pivot, MIS reporting)
  • Ability to work in high-pressure, fast-moving market environment

Job domain/function :

Educational qualifications :

Location :

India

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