Risk Manager

3.0 - 7.0 years

6 - 10 Lacs

Mumbai

Posted:1 week ago| Platform: Naukri logo

Apply Now

Skills Required

Stress testing Root cause analysis Risk assessment Analytical Financial risk Diversity and Inclusion Finance control testing Credit risk Monitoring

Work Mode

Work from Office

Job Type

Full Time

Job Description

Experience of over 3-7 years in financial risk controls Preferably having General Industry experience in risk profile. To execute and report exception(incidents) and conduct root cause analysis To Identify incident/exception areas which exist, but not reported To execute and do analytical quality review at portfolio level, channel level, new product and distributor level analysis To envisage risk and communication to relevant stakeholders To conduct risk assessment and mitigation by assessing and review of risk registers, risk triggers and portfolio analysis To execute control testing assigned Evaluating processes for assessment of financial risk with different stakeholders/functions Mind set of recommending strategies to minimize the risk along with maximizing the rewards Stress testing on financial data/actual trends Establishing stronger (system) controls based on risk matrix Solvency/capital monitoring Credit risk assessment of vendors Assessment/analysis of data relevant for risk assessment Qualifications Preferred - FRM-Group1 with Bachelor s in Engineering and MBA FRM- Group 1 with CA About Us

Mock Interview

Boost Confidence & Sharpen Skills

Start Stress Testing Interview Now
Liberty Mutual
Liberty Mutual

Insurance

Boston

50,000+ Employees

14 Jobs

    Key People

  • David Long

    Chairman and CEO
  • Timothy S. Rourke

    Chief Financial Officer

RecommendedJobs for You

Gandhinagar, Gujarat, India