AVP - Market Risk - Mumbai - Lodha (I-Think Techno Campus) Main Accountabilities 1. Regulatory ALM Reporting & LCR Ensure timely submission of ALM regulatory returns with data accuracy, trend analysis and risk commentary. Analysis of ALM repricing gaps, duration risk, funding concentration, and NII sensitivity. Implement maker-checker controls (four-eye principle) across ALM submissions. Conduct the LCR analysis to provide guidance to Treasury on LCR to ensure consistent regulatory compliance. 2. Market Risk Monitoring & ALCO Governance and Policy Monitor key ALM thresholds including liquidity coverage ratio (LCR), stock ratios, and other balance sheet risk indicators. Support preparation and circulation of ASG, ALCO, and related governance dashboards with risk commentary. Ensure timely reporting and tracking of risk actionable arising from ALCO discussions. Support periodic review of Market Risk and ALM policies with risk data modelling. 3. ALM System Implementation & Projects Robustness of ALM MIS systems, automations. Work with IT, Treasury, and Finance teams to ensure successful system integration and data migration. Support ALM system enhancements, testing, and operationalisation. 4. Audit & Regulatory Coordination Drive interactions with internal audit, statutory audit, compliance testing teams, and regulators. Ensure timely closure of audit observations and submission of required documentation. Maintain audit-ready records for ALM processes and risk monitoring. Qualifications & Experience Postgraduate / Professional qualification in Finance, Risk Management, Economics, or related discipline. 10–14 years of experience in Market Risk, ALM, or Treasury Risk within NBFCs or Banks. Strong understanding of liquidity risk, IRRBB, regulatory ALM reporting, and balance sheet risk management. Experience working with ALM systems and regulatory frameworks preferred. Exposure to audit coordination and governance reporting processes.
Other Details
- It is a Full Time Accountant job for candidates with 6+ years of experience.
More about this Assistant Vice President - Market Risk job
Who is eligible to apply for this Assistant Vice President - Market Risk job at Tata Capital Finance Limited?
Ans : Candidates should have All Education levels for this Assistant Vice President - Market Risk job offered by Tata Capital Finance Limited.
How much can you earn in this position?
Ans : Salary details will be shared during the hiring process.
What shift and timings does this job follow?
Ans : This Assistant Vice President - Market Risk job follows a Day shift.
Do you need to visit the office for this job?
Ans : Yes, candidates need to visit the office and work from the location in Virar West, Mumbai.
How many vacancies are there for this Assistant Vice President - Market Risk job?
Ans : There is 1 vacancy for this Assistant Vice President - Market Risk role.
Is this job open for all genders?
Ans : Yes, this Assistant Vice President - Market Risk job is open for both male and female candidates.
What is the job location for this position?
Ans : The job location for this Assistant Vice President - Market Risk position is Virar West, Mumbai.
What makes this Assistant Vice President - Market Risk job a good opportunity?
Ans : The employer has not disclosed the salary for this role, but it is a Full Time opportunity with 1 opening.