
Market Risk Analyst
Are you passionate about analyzing market trends and identifying potential risks? Do you have a keen eye for detail and a strong understanding of financial markets? If so, we have an exciting opportunity for you to join our team as a Market Risk Analyst at BNP Paribas. As a leading financial institution, we are seeking a highly skilled individual who can proactively monitor and assess market risks to support our business objectives. If you have a strong analytical mindset, excellent communication skills, and a minimum of 3 years experience in market risk analysis, we encourage you to apply for this position. Join us and become a valuable member of our dynamic and diverse team.
- Analyze market trends and identify potential risks for the organization.
- Monitor and assess market risks to support business objectives.
- Conduct in-depth research and analysis of financial markets to inform risk management strategies.
- Develop and implement risk management policies and procedures.
- Utilize advanced statistical and financial modeling techniques to assess and mitigate risks.
- Identify emerging market trends and their potential impact on the organization.
- Collaborate with cross-functional teams to develop risk management strategies.
- Communicate risk analysis findings and recommendations to senior management.
- Provide regular reports and updates on market risk to relevant stakeholders.
- Stay updated on industry developments and changes in market regulations.
- Maintain and update risk management systems and databases.
- Conduct stress tests and scenario analyses to evaluate potential risks.
- Train and mentor junior team members on market risk analysis techniques.
- Work with external auditors and regulatory bodies to ensure compliance with market risk guidelines.
- Continuously review and improve risk management processes and procedures.
Bachelor's Or Master's Degree In Finance, Economics, Mathematics, Or A Related Field.
Minimum Of 2-3 Years Of Experience In Market Risk Management, Preferably In The Banking Or Financial Services Industry.
Strong Knowledge Of Financial Markets, Instruments, And Regulatory Requirements.
Proficient In Using Risk Management Tools And Systems, Such As Var, Stress Testing, And Scenario Analysis.
Excellent Analytical And Quantitative Skills, With The Ability To Interpret And Communicate Complex Financial Data And Risk Metrics To Stakeholders.
Risk Management
Data Analysis
Market Research
statistical analysis
Financial Modeling
Portfolio Management
Risk assessment
Regulatory compliance
Market trends
Scenario Analysis
Derivatives Pricing
Communication
Conflict Resolution
Emotional Intelligence
Leadership
Time management
creativity
Teamwork
collaboration
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Market Risk Analyst in Mumbai, Maharashtra, India is between ₹ 8,00,000 to ₹ 12,00,000 per annum. This can vary depending on the specific company, experience, and skills of the individual. Additionally, factors such as bonuses, benefits, and location can also affect the salary.
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BNP Paribas SA engages in the provision of banking and financial services. It operates through the following main businesses: Retail Banking and Services and Corporate and Institutional Banking. The Retail Banking and Services business includes domestic markets and international financial services. The Corporate and Institutional Banking comprises of corporate banking, global markets, and securities services.

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