Analyst-Market & Liquidity Risk

MUFG · MUFG Global Service Private Ltd. - Bengaluru (BCIT) · India

Analyst-Market & Liquidity Risk mid · Risk & Compliance

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About the Role

Position Title: Market and Liquidity Risk Analyst 

Corporate Title: Analyst        

Reporting to: Senior analyst / VP / Director

Location:  Bengaluru                          

Job Profile

Position details

The role will be a hybrid role in market and liquidity risk management. Market risk management tasks will involve performing PnL and risk data generation and reporting, analysing and monitoring market risk activities undertaken by Global Markets (Trading) and Treasury (ALM). Liquidity risk management will mainly be enhancing Liquidity risk management practices and control functions for Asia branches.

This is a branch second line role, reporting into the regional market and liquidity risk management team overseeing and supporting Asia individual branches (ex. Japan and China) to uplift branch market and liquidity risk management. The person will be responsible for reporting, escalating and resolving risk related issues for local branch risk managers’ attention and support the local branch risk managers in carrying out their review and challenge function as a second line of defense in the bank.

The scope of products includes interest rate and FX related products such as interest rate swaps, FX swaps, CCS, Options, Bonds, on-balance sheet loans, deposits and inter bank borrowing/lending. 

Roles and Responsibilities

Market Risk

Liquidity Risk

Second line for Market and Liquidity Risk Management will include but not limited to;

Job Requirements: 

Mitsubishi UFJ Financial Group (MUFG) is an equal opportunity employer. We view our employees as our key assets as they are fundamental to our long-term growth and success. MUFG is committed to hiring based on merit and organsational fit, regardless of race, religion or gender.

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