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Analyst Risk Management

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1 Vacancy
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Job Location drjobs

Gurgaon - India

Monthly Salary drjobs

INR INR 480000 - 720000

Vacancy

1 Vacancy

Job Description

Job Description:
Seeking a Analyst for COE in Wipro. BEFM Risk is responsible for developing and employing adequate and effective risk management processes to monitor assess and manage risks that may have an adverse impact on BEFM and its AIFs and SMAs. BEFM Risk is also responsible for regulatory reporting oversight of the Depositaries and IT compliance.
Responsibilities
In this role Analyst will be an integral member of the BEFM Risk team ensuring effective risk assessment adequate oversight and comprehensive reports to governing bodies. The Analyst will be expected to produce bestinclass materials. The Analyst will also participate in specific risk projects and to the ongoing enhancement of the risk management function.
Key responsibilities will include amongst others:
Risk Management
Support in the AIFs SMAs and AIFM risk management duties and tasks including:
Support senior risk officers in the drafting of risk management procedures and policies and risk profiles
Support senior risk officers in the review of AIFs offering documents from a risk management perspective
Collaborating closely with BEFM risk officers on risk management monitoring and reporting
Collaborating closely with BEFM risk officers and local teams on the post trade investment compliance monitoring process and reporting
Liaise with teams to collect relevant documents reporting and data to support the risk management function
Assist in the deal review process
Assist in preparing risk management related presentations to the management committee and Boards with regards to AIFs managed by BEFM
Coordinate with both internal and external teams to deliver accurate timely and robust risk analyses
Oversee the AIFs preclosing asset ownership verification process
Support the annual due diligence process over internal and external providers (depositary banks IT etc.)
Qualifications and Experience:
University degree in Finance Economics FRM or similar discipline
2 to 3 years experience in the investment fund industry with a strong focus on alternative investments and/or risk management
Broad understanding of the different alternative asset classes and instruments
Ability to work effectively in crossfunctional collaborations
Fluent in English both written and oral and any other language will be considered as an asset
Excellent communication skills
Team player with resourceful mindset and efficiencydriven
Ability to multitask and execute a wide range of assignments and strong time management skills
Great attention to details and accountability for delivery highly organized
Ability to act autonomously and know

compliance monitoring,investment,finance,communication skills,economics,attention to details,teams,reporting,regulatory reporting,cross-functional collaborations,frm,time management,alternative investments,risk management,oversight,investment fund industry,management,team player

Employment Type

Full Time

Company Industry

About Company

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