Job Description
Job Role:-
- Seeking a professional with 4–6 years’ experience in Commodities, Risk Management, Operations, and hands‑on expertise in trade processing and settlements; additional knowledge of FnO and Currency is an advantage.
- Have a throughout knowledge of risk management setup of Client, Trader and at Broker level for Commodity Derivatives, Cash Equities & F&O .
- Setting of Risk Management - Limit and Margin monitoring of client , dealer and so on
- To have experience in testing Commodity Derivatives Risk Management Software is essential like Omnesys, Greeksoft &Odin etc.
- To have good understanding of margining mechanisms such as VAR, EWMA, SPAN and margin framework for commodity derivatives and other segments.
- Liaising with the vendor software development team. Work in close co-ordination with functional test team to Analyze test cases thoroughly to ensure adequate coverage of requirements.
- Contracting ...
Apply for this Position
Ready to join Kotak Securities? Click the button below to submit your application.
Submit Application