Associate Vice President
360 ONE Asset
Mumbai, MaharashtraFull-timeMid LevelOn-site
Job Description
About the Role
As part of the Risk Management function at 360 ONE AMC, you will work with teams across Investments, Operations, Compliance, and Technology.
Responsibilities
- Use risk models to create investment risk reports, identify performance issues, and highlight key risks to the Risk Management Committee.
- Help create and automate the Investment Risk Reporting framework, establishing linkages between investment systems and operations systems to ensure workflow automation.
- Understand business needs and existing operational workflows, and gather data and specifications required to improve and automate processes.
- Develop technical specifications, testing strategies, and implementation plans for business risk reporting.
- Automate the Risk Dashboard covering key risks related to investments and operations.
- Be part of the core team implementing Order Management System (OMS) upgrades.
- Support the CRO in implementing the SEBI Risk Management Framework.
- Support the CRO in implementing the Enterprise Wide Risk Management (ERM) framework across the Asset Management business.
- Understand the regulatory framework for Mutual Funds (MF), AIF, and PMS and prepare relevant reports and tracking mechanisms.
- Understand nuances of sub‑asset classes under AIFs, such as Real Estate, Private Credit, and Private Equity.
- Work with the CRO and Operations Risk team to create structured reports to identify issues.
- Develop MIS and insightful reports using large datasets.
- Prepare reports for Risk Management Committee meetings and prepare minutes with actionable items and tracking.
- Interact with systems/vendors such as FactSet, Bloomberg, etc.
- Represent the Risk function in forums in the absence of the CRO.
- Demonstrate an analytical mentality and a solution‑oriented mindset.
Qualifications
- MBA / CA / CFA / FRM with 5–10 years post‑qualification experience.
- Experience working in Risk Management units of banks, captive units of global investment banks, and/or large asset managers.
- Programming experience in Python and VBA is preferred.
- Experience working with structured data and handling databases such as MS Access and SQL is preferred.
- Experience on projects using investment platforms such as Bloomberg, FactSet, Alphadesk is an added advantage.
- Experience in building interfaces between systems and automation of reports will be valuable.
- Good understanding of risk concepts such as VaR, option risks, etc.
Required Skills
- Analytical mentality.
- Solution‑oriented mindset.
- Familiarity with regulatory frameworks.
Posted 2 weeks ago