HBLTTI: 18765.90 (23-07-2026 18:30:00)

Assistant Manager Risk

Position Description

To perform the risk assessment of portfolio investments while ensuring compliance with NBFC Rules and Regulations.

Job Responsibilities

  • Ensuring that all the risk management activities are performed in accordance with the Risk Management Framework.
  • Monitoring of credit/ market risk parameters against the assigned limits
  • Prepare reports / presentation on weekly and quarterly basis for the Board level sub-committees includes all risk parameters and its limits set internally for all funds.
  • Provide periodic reports on interest rate sensitivity analysis and stress testing of collective investment scheme(s).
  • Prepare returns for Fund Manager Report.
  • Daily monitoring and reporting of stop loss price triggers for equity funds.
  • Prepare and monitor interest rate stress testing report of money market funds
  • Maintain input or data quality of risk management systems or Bloomberg.
  • All the deviation and associated risks are reported to, supervisor or Concerned Departmental Heads.
  • Setting tools for Risk Adjusted Performance measured for all funds.
  • Using Risk findings and making contingency plans for market emergencies.
  • Perform other portfolio performance and risk activities or tasks which are assigned by supervisor or department head from time to time.

Required Competencies

  • Independent judgment with strong analytical and risk assessment skills.
  • Sound knowledge of capital and fixed income markets.
  • Advanced skills required in Microsoft Excel with basic competency in VBA / Macros, knowledge of Bloomberg

Required Education & Experience

  • Bachelor / Master’s Degree in Business Administration or Actuarial Sciences with background of Investment and Portfolio Risk Management.
  • Minimum 2 to 3 years of experience in Risk Management & Investment Management Department of any financial institution or AMC.
HBLTTI: 18765.90 (23-07-2026 18:30:00)