PwC

IN_Manager_Market Risk Quant_Financial Services Risk_Advisory_Mumbai

PwC  •  State of Mahārāshtra, IN (Onsite)  •  14 days ago
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Job Description

Line of Service

Advisory

Industry/Sector

FS X-Sector

Specialism

Risk

Management Level

Manager

& Summary

At PwC, our people in risk and compliance focus on maintaining regulatory compliance and managing risks for clients, providing advice, and solutions. They help organisations navigate complex regulatory landscapes and enhance their internal controls to mitigate risks effectively.

In regulatory risk compliance at PwC, you will focus on confirming adherence to regulatory requirements and mitigating risks for clients. You will provide guidance on compliance strategies and help clients navigate complex regulatory landscapes. * Why PWCAt PwC, you will be part of a vibrant community of solvers that leads with trust and creates distinctive outcomes for our clients and communities. This purpose-led and values-driven work, powered by technology in an environment that drives innovation, will enable you to make a tangible impact in the real world. We reward your contributions, support your wellbeing, and offer inclusive benefits, flexibility programmes and mentorship that will help you thrive in work and life. Together, we grow, learn, care, collaborate, and create a future of infinite experiences for each other. Learn more about usAt PwC, we believe in providing equal employment opportunities, without any discrimination on the grounds of gender, ethnic background, age, disability, marital status, sexual orientation, pregnancy, gender identity or expression, religion or other beliefs, perceived differences and status protected by law. We strive to create an environment where each one of our people can bring their true selves and contribute to their personal growth and the firm’s growth. To enable this, we have zero tolerance for any discrimination and harassment based on the above considerations. "

& Summary:

PwC India are seeking a skilled market risk quant with a strong understanding of theMarket Risk, Derivative Pricing, VaR, ES,Treasury processes,Hedge Accounting,Funds Transfer Pricingregulations. The individual should have expertise inquantitative modelling and knowledge offinancialproducts inTreasury (derivative & fixed-income)

Responsibilities:

  • Master’s degree in finance, Economics, Mathematics, Statistics,Financial Engineeringor a related quantitative field, ensuring a strong foundation in complex financial modeling

  • Understanding of market risk concepts and regulations, particularlyFair Valuation, VaR, ES, SACCR, Sensitivities, Collateral Risk Management, Hedge Effectiveness & Hedge Accounting

  • Understanding and interpreting the computation of risk measures (VaR, SACCR, ES, Back testing etc.), management of risk limits, risk reporting etc.

  • Experience in risk management within a financial institution, preferably in a market risk or quantitative analysis role

  • Knowledge of Treasury operations in Front-office, Mid-office and Back-office

  • Proficiency in programming languages such as Python, R, or MATLAB for data analysis and modeling

  • Excellent verbal and written communication skills for effective articulation of complex quantitative concepts, and a collaborative approach for working in team environments with other analysts, risk managers, and IT professionals

  • Detail-oriented with strong organizational skills and ability to manage multiple priorities

  • 5+ years of experience in market risk model development/validation

  • FRM/CQF/CFA certification would be a plus

Responsibilities:

  • Market Risk Model Development or Validation experience covering Value at Risk (VaR), Stress VaR (historical full revaluation, Taylor var approximation (delta gamma method), Monte Carlo) for linear instruments and derivative products, VaR mapping, back-testing VaR, Expected Shortfall, Market risk Stress testing Loss estimation, RWA calculation, Sensitivity &Scenario analysis and other coherent risk measures, modeling dependence: correlations and copulas, term structure models of interest rates, and volatility modeling

  • Perform review of the risk models and methodologies in accordance withBaselrequirements as a part of the third line of defense in the model risk management cycle.

  • Collaborate with internal audit and compliance teams to facilitate audits and regulatory inspections related toBasel market riskimplementation and models

  • Conduct periodic interactions with the development and the validation teams to understand their assessment of the model

  • Ensure accuracy of the model design and risk analysis;Validate the accuracy of the testing and assessment carried out by model developers and validators.

  • Perform independent testing around the sensitivity analysis, model implementation and other components of the model to assess the accuracy

  • Conduct quantitative analysis of market data, including historical market data and current market trends, to identify potential risks and recommend appropriate risk mitigation strategies

  • Raise audit observations and assess the severity of the same. Communicate these observations to the relevant stakeholders with appropriate reasoning and get approvals for the same.

  • Stay up to date with industry trends, regulations, and best practices related to market risk management

  • Strong quantitative and analytical skills, including proficiency in statistical analysis and risk modeling

  • Possess knowledge of derivative products, valuation and pricing methodologies and sensitivity analysis

Mandatory skill sets:

Market Risk Model Development / Validation

Preferred skill sets:

Financial Product knowledge,AnyProgramming languageexperience

Years of experience required:

6 to 9Years

Education qualification:

Post GraduationMBA/CA

Education (if blank, degree and/or field of study not specified)

Degrees/Field of Study required: Bachelor Degree, Master of Business AdministrationDegrees/Field of Study preferred:

Certifications (if blank, certifications not specified)

Required Skills

Market Risk

Optional Skills

Accepting Feedback, Accepting Feedback, Active Listening, Analytical Thinking, Anti-Bribery, Anti-Money Laundering Compliance, Business Ethics, Coaching and Feedback, Code of Ethics, Communication, Compliance and Governance, Compliance and Standards, Compliance Auditing, Compliance Frameworks, Compliance Program Implementation, Compliance Reporting, Compliance Review, Compliance Risk Assessment, Compliance Training, Controls Compliance, Creativity, Cybersecurity Risk Management, Data Analysis and Interpretation, Data Protection Management (DPM), Disability Support {+ 35 more}

Desired Languages (If blank, desired languages not specified)

Travel Requirements

Not Specified

Available for Work Visa Sponsorship?

No

Government Clearance Required?

No

Job Posting End Date

May 4, 2026

PwC

About PwC

At PwC, we help clients drive their companies to the leading edge. We’re a tech-forward, people-empowered network with more than 370,000 people in 149 countries. Across audit and assurance, tax and legal, deals and consulting we help build, accelerate and sustain momentum. Find out more at www.pwc.com.

PwC: Audit and assurance, consulting and tax services

PwC refers to the PwC network and/or one or more of its member firms, each of which is a separate legal entity. Content on this page has been prepared for general information only and is not intended to be relied upon as accounting, tax or professional advice. Please reach out to your advisors for specific advice.

Industry
Consulting & Advisory
Company Size
10,000+ employees
Headquarters
, GB
Year Founded
Unknown
Website
pwc.com
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