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CN - Strategy - MC – FS – Risk - 9

Job Location: Bengaluru

Job Number: 38769


- Job description

"Practice Overview: Financial services is one of the Industry Practices within Accenture’s Capability Network .CN.. Our team is spread across 6 cities in India Poland and Italy and focuses on serving global clients across Banking Capital Markets and Insurance industries. • Finance and Risk – The CN FandR team works with global Financial services firms to help them address regulatory and compliance challenges. We help our clients enhance their Credit or Market or Operational Risk frameworks and how to leverage it for strategic decision making. The Practice includes wide range of capabilities like Regulatory Reform Regulatory Change Management Compliance management Liquidity Risk frameworks Target Operating Model Design and Process Excellence and Integration. Principal Duties And Responsibilities: • Accenture leading management consultancy firm seeks an experienced and accomplished Risk Management professional with significant experience in risk consulting and sound understanding of Financial Services risk management principles and practice • Advise Banks and Financial Services Institutions on a wide range of Risk Management topics. • Partner with global deal teams in selling shaping and solution development of client deals by providing subject matter expertise on risk related topics. • Liaison with offering development group to shape thought capital around current and emerging risk management topics and contribute to development of Accenture Points-of-View on Risk trends and issues. • Support practice development through various support activities like staffing quality management capability development and knowledge management etc. • Build strong relationships with global Accenture Risk Management teams and further develop existing relationships based on mutual benefit and synergies Experience: • At least two to five years of risk management experience at one or more Financial Services institutions .Universal or Investment bank or Broker-Dealer. Rating Agency or Professional Services or Risk Advisory with an understanding of one or more of the following areas: • Credit risk Measurement for the purpose of financial instruments impairment and or or capital requirements calculation .PD LGD EAD. • Market Risk Measurement and Management related topics including operational processes technologies modeling approaches risk aggregation and reporting. • Hands on experience in VaR Calculations for variety of financial instruments across Currencies Credit Commodities Rates etc. • In-depth understanding of new or evolving regulations in the Market Risk management space including treatment of off-balance sheet exposures proprietary trading systemic risk stress testing capital calculations reporting standards etc • Operational Risk Management Framework and methodology. Hands on experience in developing risk registers conducting RCSAs defining KRIs for risk management and control indicators and computing Operational Risk RWA. • Liquidity Risk Measurement Reporting and Management • Functional design and database modeling for risk management systems and applications • Strong understanding of risk regulatory framework of one more of the major economies across globe .i.e. US EU etc... Knowledge of Basel II or III principles and practice Dodd Frank ICAAP MIFID etc. • Hands on experience across a range of risk platforms and technologies or products such as Bloomberg Reuters Sungard Murex etc. • Experience in third party risk consulting will be preferred. Prior Risk Consulting experience at pre-eminent global risk management consulting firms preferred. Accenture is an equal opportunities employer and welcomes applications from all sections of society and does not discriminate on grounds of race religion or belief ethnic or national origin disability age citizenship marital domestic or civil partnership status sexual orientation gender identity or any other basis as protected by applicable law. "
"• Master’s in Business Administration with specialization in risk. • Strong academic background. Industry certifications such as FRM PRM CFA preferred "

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