VaR, stress testing, and trading-desk limit monitoring. · 252 active positions
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About Market Risk careers in India
Market Risk roles in India measure and manage risk arising from market movements — interest rates, FX, equities, and commodities. Analysts calculate VaR, run stress tests, build sensitivity analyses, and monitor trading-desk limits. Top hirers are the Mumbai and Bangalore global capability centers of global banks. FRM is the standard certification; Python, SQL, and trading-book knowledge are common technical requirements.
Frequently asked questions — Market Risk jobs in India
What does a Market Risk Analyst do?
A Market Risk Analyst measures and manages the risk arising from market movements — interest rates, FX, equity prices, commodity prices. They calculate VaR, stress tests, sensitivity analyses, and ensure trading desks stay within risk limits. FRM certification is standard.