Enterprise Risk Manager (ERM)

14 years

0 Lacs

Posted:15 hours ago| Platform: Linkedin logo

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On-site

Job Type

Full Time

Job Description

Job Title: Enterprise Risk Manager (ERM)

Location:

Experience Required:

Industry Preference:

About the Role

Paytm Money is looking for an experienced Enterprise Risk Manager to strengthen its risk governance framework across all business lines, particularly Equity, F&O, MF, and Wealth products. The role involves driving a comprehensive risk management strategy, ensuring regulatory compliance, monitoring operational risk, and partnering with business teams to proactively mitigate risks.

Key Responsibilities

1. Enterprise Risk Framework

  • Develop, implement, and continuously enhance the Enterprise Risk Management framework.
  • Identify, assess, and monitor key risks across business units and processes.
  • Build and update risk registers, KRIs, and risk dashboards.

2. Regulatory & Compliance Risk

  • Ensure adherence to SEBI, NSE, BSE, and regulatory guidelines relevant to broking and investment products.
  • Coordinate with Compliance and Internal Audit teams on regulatory changes and risk mitigation.

3. Operational & Market Risk

  • Review and monitor operational, market, liquidity, and credit risks across all trading and investment operations.
  • Assess impact of new products, policies, and business processes on overall risk.
  • Drive root-cause analysis and corrective action plans for incidents, breaches, and audit findings.

4. Governance & Reporting

  • Prepare and present risk reports to the Risk Committee, Management, and Board.
  • Conduct periodic risk assessments and scenario analyses.
  • Lead risk governance routines like RCSAs, control testing, and policy reviews.

5. Stakeholder Management

  • Partner with Product, Technology, Operations, and Business teams to embed risk-aware culture.
  • Provide risk advisory for new initiatives, automation, and process enhancements.
  • Work closely with senior leadership on strategic risk decisions.

Required Skills & Experience

  • 10–14 years of experience in

    risk management within broking, trading, or capital markets

    .
  • Strong understanding of Equity, F&O, Mutual Funds, and Wealth products.
  • Solid working knowledge of SEBI, Exchanges, RIA, and broking regulations.
  • Experience in risk frameworks, KRIs, RCSA, governance, and audit management.
  • Strong analytical skills, data-driven mindset, and ability to handle complex risk scenarios.
  • Excellent stakeholder management and communication skills.

Preferred Qualifications

  • MBA/CA/CFA or relevant risk certifications (FRM/ERM) preferred.
  • Experience in digital broking or fintech environment is an added advantage.

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