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Tuesday, 11 November 2014

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(Internal/External) : Global Financial Services Risk Manangemnt at EY

Job Title (Internal/External) : Global Financial Services Risk Manangemnt 

Job Role : 

Due to rapid expansion in commodity markets and with advent of recent regulations promoting companies to explore commodity markets to hedge their underlying price risk , we are looking for a Manager to take on a consulting role within our Financial Risk Service practice. 

· We seek a sound business understanding, research and industry analysis skills supported by decent analytical, quantitative and risk management competencies, especially in the commodity markets i.e. oil and gas, agri, non-ferrous, etc 
· The professional will have demonstrated capability at working in a consulting environment, with multi-specialist team of highly motivated individuals to advice on commodity risk management and solve some business problems concerning management of price risks. 
· Experience would ideally include all or some of the following: Business or industry research and sound understanding of commodity markets and related companies, risk management, deep knowledge of commodity markets (OTC and exchanges) to hedge commodity prices. 
· Implementation experience in risk management, business risk consulting, risk quantification and analysis. Accounting and tax implications under recent regulatory guidelines. Valuation and pricing knowledge of financial instruments would be complimentary and beneficial. 
· Knowledge of information systems like Reuters, Bloomberg and commodity trading and risk management systems would be highly regarded. 
· Ideally, should have the working knowledge and should be in position to play a consulting role and should be able to write business reports, conduct client discussions, business presentations and pursuit management. 
· Must be able to demonstrate knowledge on commodity markets, especially how Indian companies are exposed to commodity price risks and ways and means to institutionalise hedging and risk mitigation programmes. These skills may have been gained through recent completion of post graduate studies, or commercial experience involving quantitative analysis, risk management or financial modelling such as within the corporate strategy, consulting, market-making, procurement or treasury function. 
· Be proactive to be a part of the winning team. 
· Business Development and People Management capabilities. 

Academic Qualifications : CA or Engineer- MBA (Finance) 

Experience : 1-8 of experience in Financial Risk Services 

https://tas-ey.taleo.net/careersection/gexp01/jobdetail.ftl?job=IND0030O&lang=en&src=JB-10200