Risk Management Analyst Job Openings in Gurgaon 2025!!!
American Express announced job vacancy for the post of Analyst-Risk Management. The place of posting will be at Gurgaon (Hybrid). Candidates who have completed Graduate with Fresher / Experience are eligible to apply. More details about qualifications, job description and roles & responsibilities are as follows
Name of the Company |
American Express |
Required Qualifications |
Graduate |
Skills |
Asset-liability management (ALM), interest
rate risk in the banking book (IRRBB), and foreign exchange (FX) |
Work Type |
Hybrid |
Category |
Financial |
Within
GRC, the Market Risk Oversight Group is the independent risk management team
covering all financial risks undertaken by the Treasury function at American
Express. The team’s core responsibility is to design and execute risk
measurement and controls across balance sheet management areas, including
funding and liquidity risk, market risk, and capital management. The Analyst –
Market Risk Oversight will be responsible for providing independent oversight
and effective challenge of market risk management across American Express and
American Express National Bank (AENB). This individual will work closely with
senior management and business units to ensure effective identification,
assessment, and mitigation of market risks.
Θ Positions: Analyst-Risk
Management
Θ Job
Location:
Gurgaon (Hybrid)
Θ Salary: As per
company Norms
Θ Job Type: Full Time
Θ Requisition
ID: 25003440
Required
Skills & Qualifications:
- Undergraduate degree in Finance, Statistics, Actuarial Science, Mathematics, Econometrics, Business Administration, Operations Research, Engineering, or a related field.
- 0-4 years of experience in risk management or finance.
- Experience with asset-liability management (ALM), interest rate risk in the banking book (IRRBB), and foreign exchange (FX) risk management.
- Excellent verbal and written communication skills, combined with rigorous analytical and problem-solving skills and meticulous attention to detail.
- Proactive in identifying issues, escalating key findings, and advising on recommended solutions to mitigate risks in a timely fashion.
- Advanced proficiency in Excel and PowerPoint.
Preferred
Qualifications
- Graduate degree in Finance, Statistics, Actuarial Science, Mathematics, Econometrics, Business Administration, Operations Research, Engineering, or a related field.
- Knowledge of SQL, Python, and Bloomberg.
- CFA or FRM designation.
Responsibilities:
- Identify, analyze, and quantify market risk exposures across interest rates, FX, and investments.
- Implement market risk management strategies, policies, and procedures in alignment with the organization's risk appetite, regulatory requirements, and leading practices.
- Calibrate and monitor limits and escalation thresholds to ensure that all material market risks are mitigated and maintained within risk tolerance.
- Perform independent reviews of key treasury risk management processes.
- Manage the risk appetite framework, senior management communications, and committee/Board reporting for the market risk pillar.
- Monitor trends, market developments, and regulatory changes to proactively identify emerging risks and opportunities for risk mitigation and optimization.
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