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Accenture is a leading global professional services company, providing a broad range of services and solutions in strategy, consulting, digital, technology and operations. Combining unmatched experience and specialized skills across more than 40 industries and all business functions â€" underpinned by the world’s largest delivery network â€" Accenture works at the intersection of business and technology to help clients improve their performance and create sustainable value for their stakeholders. With approximately 442,000 people serving clients in more than 120 countries, Accenture drives innovation to improve the way the world works and lives. Visit us at www.accenture.com.
Designation Risk Management
Job Description Key Responsibilities:

Advise Banks and Capital Market Institutions on a wide range of Market Risk Management topics.
Partner with global deal teams in selling, shaping and solution development of client deals by providing subject matter expertise on market risk related topics.
Liaison with offering development group to shape thought capital around current and emerging risk management topics and contribute to development of Accenture Points-of-View on Risk trends and issues.
Help build risk practice by conducting interviews for recruitment both laterally and through campus.
Help in training and nurturing talent on risk related topics.
Support practice development through various support activities like staffing, quality management, capability development and knowledge management etc.
Build strong relationships with global Accenture Risk Management teams, and further develop existing relationships based on mutual benefit and synergies


Experience

At least 7-10 years risk management experience at one or more Financial Services institutions (Universal/Investment bank or Broker-Dealer), Rating Agency or Professional Services / Risk Advisory with significant exposure to one or more of the following areas:
Market Risk Measurement and Management related topics including operational processes, technologies, modeling approaches, risk aggregation and reporting.
Experience in helping institutions on Basel II/III related topics including the concept of Incremental Risk Charge (IRC) for migrations & defaults.
In-depth understanding of new/ evolving regulations in the Market Risk management space including treatment of off-balance sheet exposures, proprietary trading, systemic risk, stress testing, capital calculations, reporting standards, etc Liquidity Risk Measurement, Reporting and Management.
Functional design and database modeling for risk management systems and applications
Familiarity with lending products and/or financial instruments across equity, fixed income, derivatives and securitization space

Other Requirements
Masters in Business Administration with specialization in risk.
Strong project management skills and demonstrated experience in managing teams across functions and geographies
Exposure to working in globally distributed workforce environment including offshore model
Willingness to travel 25-50% of the time
Strong academic background. Industry certifications such as FRM, PRM, CFA preferred
Excellent communication and interpersonal skills
Desired Profile Please refer to the Job description above
Experience 7 - 10 Years
Industry Type IT-Software / Software Services
Role Analyst
Functional Area Financial Services, Banking, Investments, Insurance
Employment Type Full Time , Permanent Job
Education

UG - Any Graduate - Any Specialization

PG - MBA/PGDM - Any Specialization

Doctorate - Doctorate Not Required

Compensation:  Not disclosed
Location Mumbai, Bengaluru, Gurgaon
Keywords market risk management liquidity risk frm basel ii capital market stress testing team handling treasury cfa basel Risk Management Credit Risk Market Risk var
Contact HR
Accenture Solutions Pvt Ltd
Job Posted 2018-05-17 16:54:51.0