1,224 Risk Management jobs in India
Technical Project Manager
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Job Description
SimplyFI Softech India Pvt. Ltd. is a cutting-edge, product-based technology company that builds innovative solutions using Artificial Intelligence , Blockchain , and Cloud-native technologies. We serve global clients in Banking , Financial Services , and Trade Finance , with a mission to digitally transform legacy systems into intelligent, secure, and scalable platforms.
Our flagship products power intelligent document automation, trade finance digitization, and API-driven integrations for enterprise clients and banks.
Role Overview:
We are looking for a proactive and detail-oriented Technical Project Manager with strong experience in managing product delivery in the Banking/FinTech domain. You will be responsible for end-to-end project planning, stakeholder coordination, and ensuring timely and high-quality delivery of complex technical solutions.
Key Responsibilities:
Lead end-to-end delivery of technical projects across product and banking solutions
Work closely with cross-functional teams – product, engineering, QA, and client stakeholders
Define project scope, create timelines, allocate resources, and track progress
Manage risks, dependencies, and change requests proactively
Translate business requirements into actionable technical plans
Conduct sprint planning, daily standups, retrospectives (Agile/Scrum methodology)
Serve as the point of contact for internal leadership and external clients
Ensure on-time delivery and adherence to scope, quality, and budget
Required Skills & Qualifications:
Bachelor’s degree in Computer Science, Engineering, or related field (B. Tech or PMP is a plus)
3–5 years of experience in project management, with at least 2–3 years in the Banking or FinTech domain
Proven experience delivering SaaS or enterprise product solutions
Strong understanding of SDLC, Agile/Scrum frameworks, and DevOps culture
Excellent stakeholder management and communication skills
Ability to manage multiple projects with changing priorities
Familiarity with tools like JIRA , Confluence , MS Project , or equivalent
Preferred Experience:
Background in enterprise/BFSI software implementation
Experience with technologies like APIs, microservices, or cloud (AWS/GCP/Azure)
Exposure to blockchain or AI/ML-driven platforms is a plus
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Risk Management
Posted 1 day ago
Job Viewed
Job Description
Position:
Risk Management Consultant (Freelance / Contract)
Location:
Remote / Client Site (as required)
Industry Focus:
BFSI, Healthcare, FinTech, and Enterprise Clients
Engagement Type:
Consulting / Project-based
We are seeking an experienced
Risk Management Consultant
with strong expertise in
Governance, Risk & Compliance (GRC), NIST Cybersecurity Framework (CSF), and NIST controls
. The consultant will be responsible for
planning, implementing, and monitoring enterprise risk management strategies
to ensure compliance, security resilience, and alignment with business objectives.
1. Risk Planning & Strategy
- Develop and implement Enterprise Risk Management (ERM) frameworks aligned with NIST CSF, NIST 800-53, ISO 31000, and regulatory requirements.
- Define
risk appetite and tolerance
in collaboration with executive leadership. - Create
risk management roadmaps, timelines, and policies
.
2. Risk Assessment & Analysis
- Conduct enterprise-wide
risk assessments and gap analyses
(cybersecurity, compliance, operational). - Maintain and update
risk registers, heat maps, and mitigation strategies
. - Perform
Business Impact Analysis (BIA)
and threat modeling exercises.
3. Control Implementation & Compliance
- Map organizational controls to
NIST 800-53, ISO 27001, HIPAA, PCI DSS
and other regulatory frameworks. - Develop and maintain
System Security Plans (SSPs)
,
POA&Ms
, and compliance documentation. - Support
internal/external audits
and provide evidence for regulatory assessments.
4. Governance, Risk & Compliance (GRC)
- Assist in GRC tool implementation and automation of compliance monitoring.
- Provide governance structures, policies, and processes for effective risk management.
- Conduct
vendor risk management assessments
and third-party compliance reviews.
5. Monitoring, Reporting & Training
- Establish
Key Risk Indicators (KRIs)
and
Key Performance Indicators (KPIs)
. - Deliver
executive dashboards, board reports, and compliance scorecards
. - Conduct risk awareness training,
tabletop exercises, and incident simulations
.
Qualifications & Skills
- Proven experience in
Risk Management, GRC, or Cybersecurity Compliance Consulting
. - Strong knowledge of
NIST CSF, NIST 800-53, ISO 27001, and regulatory frameworks
. - Experience with
risk assessment methodologies, BIA, and threat modeling
. - Ability to draft and implement policies, frameworks, and compliance documentation.
- Familiarity with
GRC tools
(RSA Archer, ServiceNow GRC, MetricStream, or similar). - Excellent communication, stakeholder management, and advisory skills.
- Relevant certifications preferred:
CISSP, CISA, CRISC, CISM, CGEIT, ISO 27001 LA/LI
.
Engagement Benefits
- Work on projects with
global clients in BFSI, Healthcare, and FinTech sectors
. - Flexible
remote or hybrid work model
. - Opportunity to provide
end-to-end consulting
from strategy planning to execution.
Feel free to write on
Risk Management
Posted 1 day ago
Job Viewed
Job Description
Department:
Risk Management
Job Summary:
The Risk Manager will be instrumental in developing, implementing, and overseeing a robust risk management framework specifically for wealth management operations, including OBPP operations, mutual fund & insurance distribution activities. This role requires a deep understanding of nuanced operational, technological, and regulatory risks associated with digital platforms.
Key Responsibilities:
- Risk governance
- Design and implement the risk framework for the wealth platform
- Ensure compliance with SEBI and other regulatory requirements applicable to OBPPs, stock brokers, distributors etc.
- Platform and product risk management
- Identify, assess, and mitigate risks specific to OBPP and distribution operations.
- Set up and implement risk controls for digital operations, including order placement, settlements, payment processing etc.
- Analyze risks related to suitability and appropriateness of products, mis-selling, scheme-specific risks.
- Operational risk management of Altifi platform
- Assess and mitigate operational risks in the platform.
- Build and maintain SOPs for all processes; develop and monitor KRI dashboards
- Risk reporting
- Comprehensive reporting of risk metrics, mitigation measures to all relevant stakeholders
Qualifications:
- Education:
MBA or equivalent post-graduation degree with specialisation in finance, risk management, business administration, statistics or similar field. Professional qualifications such as FRM, NISM certifications etc. are added advantages - Experience:
5-8 years of experience in risk management with at least 3 years in a leadership role. Relevant experience should be in a stock broking firm (focus on debt segment), wealth management firm, fixed income desk of Bank or NBFC.
Specific experience with OBPP preferred.
Risk Management
Posted today
Job Viewed
Job Description
We are seeking an experienced
Risk Management Consultant
with strong expertise in
Governance, Risk & Compliance (GRC), NIST Cybersecurity Framework (CSF), and NIST controls
. The consultant will be responsible for
planning, implementing, and monitoring enterprise risk management strategies
to ensure compliance, security resilience, and alignment with business objectives.
1. Risk Planning & Strategy
- Develop and implement Enterprise Risk Management (ERM) frameworks aligned with NIST CSF, NIST 800-53, ISO 31000, and regulatory requirements.
- Define
risk appetite and tolerance
in collaboration with executive leadership. - Create
risk management roadmaps, timelines, and policies
.
2. Risk Assessment & Analysis
- Conduct enterprise-wide
risk assessments and gap analyses
(cybersecurity, compliance, operational). - Maintain and update
risk registers, heat maps, and mitigation strategies
. - Perform
Business Impact Analysis (BIA)
and threat modeling exercises.
3. Control Implementation & Compliance
- Map organizational controls to
NIST 800-53, ISO 27001, HIPAA, PCI DSS
and other regulatory frameworks. - Develop and maintain
System Security Plans (SSPs)
,
POA&Ms
, and compliance documentation. - Support
internal/external audits
and provide evidence for regulatory assessments.
4. Governance, Risk & Compliance (GRC)
- Assist in GRC tool implementation and automation of compliance monitoring.
- Provide governance structures, policies, and processes for effective risk management.
- Conduct
vendor risk management assessments
and third-party compliance reviews.
5. Monitoring, Reporting & Training
- Establish
Key Risk Indicators (KRIs)
and
Key Performance Indicators (KPIs)
. - Deliver
executive dashboards, board reports, and compliance scorecards
. - Conduct risk awareness training,
tabletop exercises, and incident simulations
.
Qualifications & Skills
- Proven experience in
Risk Management, GRC, or Cybersecurity Compliance Consulting
. - Strong knowledge of
NIST CSF, NIST 800-53, ISO 27001, and regulatory frameworks
. - Experience with
risk assessment methodologies, BIA, and threat modeling
. - Ability to draft and implement policies, frameworks, and compliance documentation.
- Familiarity with
GRC tools
(RSA Archer, ServiceNow GRC, MetricStream, or similar). - Excellent communication, stakeholder management, and advisory skills.
- Relevant certifications preferred:
CISSP, CISA, CRISC, CISM, CGEIT, ISO 27001 LA/LI
.
Engagement Benefits
- Work on projects with
global clients in BFSI, Healthcare, and FinTech sectors
. - Flexible
remote or hybrid work model
. - Opportunity to provide
end-to-end consulting
from strategy planning to execution.
Feel free to write on
Risk Management
Posted today
Job Viewed
Job Description
Role & responsibilities
KEY RESPONSIBILITIES/ ACCOUNTABILITIES:
- Independently conduct process audits and process reviews across various business functions
- Anticipate potential risk events, perform risk assessments, and identify appropriate control measures
- Monitor the progress of risk mitigation action plans to ensure timely reduction of identified risks and closure of open issues
- Periodically evaluate and monitor the design and operating effectiveness of key controls to manage business risks
- Ensure timely completion of control self-assessments, functional assurance activities, and process reviews as per the approved plan
- Review detailed reports and submit consolidated summary reports on compliance status and progress of action items.
- Actively participate in and support organisation-wide risk management awareness initiatives and communication drives.
- Lead and facilitate the implementation of identified process improvement initiatives to enhance operational efficiency and risk management practices.
Educational Qualifications: MBA / CA / CMA / Semi Qualified CA.
Experience: More than 5- 8 years post qualification experience.
Risk Management
Posted today
Job Viewed
Job Description
About Us
Moder, formerly known as Archwell Operations, is a part of Archwell Holdings founded in 2017. We are a tech forward outsourcing company specializing in supporting the US Mortgage, Insurance, and Banking industries. We specialize in end-to-end component-based outsourcing, managing one-off projects to become an extension of the customer service or operations team. Our team is built on industry expertise and provides the traction clients need to grow their company.
Equipped with diverse tools, platforms, solutions, and services we strive to work towards our mission to positively impact the financial health of companies by powering in-house processes using top talent, workflow best practices, and progressive technology.
Link -
Job Role:
- Oversight & monitoring on market/ financial risks & related portfolio management e.g., status of investments, policy gapping, risk appetite monitoring etc.
- Transaction (buying loans or pools of loans) due diligence and oversight, along with downstream performance tracking e.g., capital adequacy (financial reserves etc.)
- Manage operational risk risk assessments, key risk indicator reporting, issues management
- Understanding and usage of models & model risk; Risk aggregation & Reporting
- Monitors cash flows and liquidity, inclusive of ongoing capital stress testing, portfolio investment activities, analyzing market trends and evaluating and providing credible challenge
Experience & Qualifications:
- CFA/MBA in Finance with at least years of experience in capital markets, risk management etc. managing financial/market risk in mortgages/mortgage servicing
- Data & Analytical skills, good communication and relationship management skills
- Ability to be nimble and flexible, to undertake any risk management initiatives and guide them from start to finish
- Strong problem-solving skills, professionalism, producing high quality results, and meeting deadlines
Unassailable ethics, personal values, and integrity
• Unassailable ethics, personal values, and integrity.The candidate should be comfortable to work in night shift
- Candidate should be comfortable to Work from Office
- Two-way cab facility will be provided
- Immediate to 30 days' Notice Period candidate are preferred
Risk Management
Posted today
Job Viewed
Job Description
Job description
JD RMS EXECUTIVE
Roles and responsibilities
:
· Cross checking BOD for All segments before Market Start.
· Making Activation and Deactivation of Trading Terminal and Investor client.
· Ability to resolve queries on a day to day basis.
·
Keeping Monitoring on Additional Surveillance Margin (ASM) and reporting to HOD.
· Blocking GSM and Illiquid scrip on Time to Time in the Trading system.
·
RMS Blocking for Debit, RMS Blocking for Far month Contract, RMS Blocking for
Illiquid scrip.
· Keeping track of MTM Alert violation, MTM net position & Square off the open position
once MTM Loss get triggered.
· Responsible for squaring off all the intraday position through Timer Square off for all
segments.
· Supervision of Limit assigned to the clients (Base Limit and Intraday limits).
· Coordination with different teams.
· Surveillance of Script Wise & Client wise Position, Simulated Trade, Script concentration
etc.
· Track on Tender period contract in all Segments, Whole process of Straggled Delivery
Mechanism.
· Successfully Implementation Exchange & Depository Related Compliances.
· Enhance Supervisor Reporting, Client fund, Collateral, Security Balance (Weekly's).
· Daily Margin Reporting for all Segments.
· Quarterly Settlement of A/Cs & Dormant & Inactive Process & CTCL Empanelment.
Risk Management
Posted today
Job Viewed
Job Description
Roles and Responsibilities
Tracking Market movement and Risk exposures of clients- ODIN /OMNSYS
Monitoring clients positions, limits and triggering
Exchange Margin preparing and reporting
Take follow up of Peak & MTM Margin
Knowledge products like MTF, Exchange settlement
Desired Candidate Profile
Perks and Benefits
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Analyst-Risk Management

Posted 1 day ago
Job Viewed
Job Description
At American Express, our culture is built on a 175-year history of innovation, shared values and Leadership Behaviors, and an unwavering commitment to back our customers, communities, and colleagues. As part of Team Amex, you'll experience this powerful backing with comprehensive support for your holistic well-being and many opportunities to learn new skills, develop as a leader, and grow your career.
Here, your voice and ideas matter, your work makes an impact, and together, you will help us define the future of American Express.
**How will you make an impact in this role?**
Within the Finance Risk Management Group in GRC, Market & Liquidity Risk is the independent risk management team covering market and liquidity risk at American Express. The team's core responsibility is to design and execute risk measurement and controls across balance sheet management areas, including funding and liquidity risk and market risk.
**Roles & Responsibilities:**
Analyst - Market Risk Oversight will be responsible for providing independent oversight and effective challenge of Market Risk Management across American Express and American Express National Bank (AENB). This individual will work closely with senior management and business units to ensure effective identification, assessment and mitigation of market risks. Assist Manager- Market risk management in annual reviews, tracking remediation and communicating updates to key stakeholders.
**Minimum Qualifications**
+ Bachelor's degree in finance, Statistics, Actuarial Science, Mathematics, Econometrics, Operations Research, or a related field.
+ 1-2 years of experience in risk management, Treasury, or financial markets; preferably experience with asset liability management, specifically interest rate risk in the banking book (IRRBB), FX risk management, and investment risk oversight
**Preferred Qualifications**
+ Strong understanding of interest rate and FX risk management principles, methodologies, regulatory frameworks and key interest rate risk metrics e.g., Earning at Risk and Economic Value of Equity.
+ Strong verbal and written communication skills.
+ Analytical and problem-solving skills, with an ability to analyze data, identify trends, and evaluate risk scenarios effectively.
+ Advanced proficiency in Excel and PowerPoint; experience with risk analytics tools and financial modeling is a plus.
Guardian
**Qualifications**
We back you with benefits that support your holistic well-being so you can be and deliver your best. This means caring for you and your loved ones' physical, financial, and mental health, as well as providing the flexibility you need to thrive personally and professionally:
+ Competitive base salaries
+ Bonus incentives
+ Support for financial-well-being and retirement
+ Comprehensive medical, dental, vision, life insurance, and disability benefits (depending on location)
+ Flexible working model with hybrid, onsite or virtual arrangements depending on role and business need
+ Generous paid parental leave policies (depending on your location)
+ Free access to global on-site wellness centers staffed with nurses and doctors (depending on location)
+ Free and confidential counseling support through our Healthy Minds program
+ Career development and training opportunities
American Express is an equal opportunity employer and makes employment decisions without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, veteran status, disability status, age, or any other status protected by law.
Offer of employment with American Express is conditioned upon the successful completion of a background verification check, subject to applicable laws and regulations.
**Job:** Risk
**Primary Location:** India-Haryana-Gurugram
**Schedule** Full-time
**Req ID:**
Manager-Risk Management
Posted 3 days ago
Job Viewed
Job Description
At American Express, our culture is built on a 175-year history of innovation, shared values and Leadership Behaviors, and an unwavering commitment to back our customers, communities, and colleagues. As part of Team Amex, you'll experience this powerful backing with comprehensive support for your holistic well-being and many opportunities to learn new skills, develop as a leader, and grow your career.
Here, your voice and ideas matter, your work makes an impact, and together, you will help us define the future of American Express.
How will you make an impact in this role?
Responsible for contacting clients with overdue accounts to secure the settlement of the account. Also they do preventive work to avoid future overdues with accounts that have a high exposure.
**Functional Description:**
The India Consumer CFR team owns the credit loss provision for the consumer portfolio in India. The position is to lead the Customer Management function within the Consumer CCO team, and would entail partnering with the CFR CoE teams to develop superior credit risk capabilities and strategies. The role requires a close collaboration with Business and Operations teams to drive growth in the market and maintain customer experience, all while partnering with legal, compliance and second line teams to ensure regulatory compliance at all times. Additionally, the role with also require to partner with external vendors to develop and implement the next generation of credit risk capabilities in the India market.
**Responsibilities:**
+ Managing credit loss provision for the Consumer Portfolio in India
+ Driving profitable business growth without adverse surprises while providing an outstanding customer experience for consumer customers in India.
+ Support in delivering Project Fusion for India market
+ Partner with Fusion teams to ensure efficient development and deployment of risk strategies in POA vendor systems with minimal impact to credit risk levels in the portfolio
+ Interacting and collaborating with partners across multiple lines of business including marketing, finance, compliance, operations and colleagues in risk centers of excellence to develop, implement and optimise the strategy for risk management processes including deployment of new capabilities
+ Providing strong thought and relationship leadership while working with multiple business partners
+ Maintaining close liaison with market risk colleagues across international risk and partner with them to leverage and translate best practices
**Skills & Qualifications**
+ Strong quantitative, analytical, project management and structured problem-solving skills.
+ Ability and willingness to work in a fast-paced environment and on aggressive timelines.
+ Indepth knowledge of Triad, Vision Plus , JOCATA platforms will be preferred.
+ Effective team player and be able to manage multiple projects.
+ Experience in analyzing data, drawing inferences, and making recommendations.
+ Strong relationship management and negotiation skills with an ability to effectively collaborate with multiple stakeholders
+ Thorough understanding of credit card business economics.
+ Candour in communication
+ An advanced quantitative degree in business administration, engineering, statistics, or economics and/or equivalent work experience will be preferred.
+ Developing and maintaining strong working relationships with the credit bureaus, fintechs and other vendors
+ Ensuring compliance with all regulatory requirements through robust risk policies.
+ Continuously strive for excellence and lead with an external perspective
+ Nurture and develop a high performing team
**Qualifications**
We back you with benefits that support your holistic well-being so you can be and deliver your best. This means caring for you and your loved ones' physical, financial, and mental health, as well as providing the flexibility you need to thrive personally and professionally:
+ Competitive base salaries
+ Bonus incentives
+ Support for financial-well-being and retirement
+ Comprehensive medical, dental, vision, life insurance, and disability benefits (depending on location)
+ Flexible working model with hybrid, onsite or virtual arrangements depending on role and business need
+ Generous paid parental leave policies (depending on your location)
+ Free access to global on-site wellness centers staffed with nurses and doctors (depending on location)
+ Free and confidential counseling support through our Healthy Minds program
+ Career development and training opportunities
American Express is an equal opportunity employer and makes employment decisions without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, veteran status, disability status, age, or any other status protected by law.
Offer of employment with American Express is conditioned upon the successful completion of a background verification check, subject to applicable laws and regulations.
**Job:** Risk
**Primary Location:** India-Haryana-Gurugram
**Other Locations:** India-Haryana-Gurgaon
**Schedule** Full-time
**Req ID:**