QuintEdge
Finance Jobsby QuintEdge

Market Risk jobs

19 results

Last updated

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Change BA - Market Risk/CCR

Crisil

Chennai, Tamil Nadu, India

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Market Risk Specialist - SRE

Barclays

Chennai, Tamil Nadu, India

Market RiskRecently

Market Risk Specialist - SRE

Barclays

Chennai, Tamil Nadu, India

Market RiskRecently

Glencore - Market Risk Analyst

Glencore

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Market Risk Specialist - SRE

Barclays

Chennai, Tamil Nadu, India

Market RiskRecently

Glencore - Market Risk Analyst

Glencore India Pvt Ltd

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Market Risk Specialist - SRE

Barclays

Chennai, Tamil Nadu, India

Market RiskRecently

Glencore - Market Risk Analyst

Glencore India Pvt Ltd

Chennai, Tamil Nadu, India · 3-5 yrs

Market RiskRecently

Risk and Compliance Representative

Accenture

Chennai, Tamil Nadu, India

Market Risk4w ago

About 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.