Market Risk Jobs in India
VaR, stress testing, and trading-desk limit monitoring. · 138 active positions
Last updated
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.
Active Jobs
138
Salary Range
₹9–20 LPA
Typical mid-level
Top City
Mumbai
31 openings
Top Employer
Barclays
Top Market Risk employers in India
Browse Market Risk jobs by city
Latest Market Risk jobs in India
View all 138Senior Analyst, Market Risk
085 Northern Operating Srvs Pvt LtdBengaluru, Karnataka, India · 0-4 yrs
Market Risk2w ago
Non Market Risk,Senior manager,Institutional Equity Division
Morgan StanleyMumbai, Maharashtra, India · 7-9 yrs
Market Risk5d ago
Qualifications & skills for Market Risk in India
- ✓VaR / expected-shortfall methodology
- ✓Derivatives and fixed-income product knowledge
- ✓Stress testing and scenario analysis
- ✓Python / R for risk analytics; SQL
- ✓FRM (preferred) or CFA
Typical entry: 0–2 years for Analyst, 3–5 years for VP track
Other finance categories
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.