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EY Risk Consulting - Manager Market 
India, Kerala, Thiruvananthapuram 
178657159

Today

Key Responsibilities

  • Lead and manage a team of 5–8 professionals, including Senior Consultants and Analysts, in delivering high-quality Financial Services and Risk Management engagements aligned with client objectives.
  • Provide subject matter expertise on capital market instruments, focusing on pricing and risk assessment of fixed income, equity, FX, interest rate, credit, and derivative products.
  • Take ownership of project planning and execution, ensuring timely delivery, quality assurance, and effective communication with stakeholders.
  • Oversee and ensure the quality of deliverables, providing guidance and final review to maintain high standards.
  • Serve as the primary point of contact for mid-level client stakeholders, managing expectations and ensuring satisfaction.
  • Stay current with financial market developments and regulatory changes to inform strategic recommendations.
  • Adapt to diverse projects involving model audits, validation, and development, demonstrating flexibility and domain expertise.
  • Mentor and coach junior team members, fostering a culture of continuous learning and performance excellence.

Must-have:

  • Bachelor’s degree in quantitative finance, Financial Engineering, Mathematics, Physics, Statistics, Engineering or other numerical subjects from a reputable institution.
  • 6–8 years of experience in financial services, consulting, or risk management, with exposure to pricing, valuation, or quantitative modeling of financial instruments.
  • Strong understanding of risk analytics, including hedge effectiveness.
  • Proficiency in at least one programming or analytical language (e.g., Python, VBA, MATLAB).
  • Familiarity with financial data platforms and tools (e.g., Bloomberg, Refinitiv, Numerix).
  • Excellent analytical, communication, and documentation skills.
  • Proven ability to manage multiple projects and deliver results in a fast-paced, client-facing environment.

Preferred:

  • Professional certifications such as FRM, CFA, or PRM.
  • Experience with at least one pricing/risk management system (e.g., Calypso, Murex, Bloomberg).
  • Exposure to quantitative and qualitative analysis of risk exposures, including scenario analysis and stress testing.
  • Proven team management skills, including mentoring and developing junior staff.
  • Willingness to travel for client engagements as required.

As a global leader in assurance, tax, transaction, and consulting services, we’re using the finance products, expertise, and systems we’ve developed to build a better working world. That starts with a culture that believes in giving you the training, opportunities, and creative freedom to make things better.

You get to work with inspiring and meaningful projects. Our focus is education and coaching alongside practical experience to ensure your personal development. We value our employees, and you will be able to control your own development with an individual progression plan. You will quickly grow into a responsible role with challenging and stimulating assignments. Moreover, you will be part of an interdisciplinary environment that emphasizes high quality and knowledge exchange. Plus, we offer:

  • Support, coaching and feedback from some of the most engaging colleagues around
  • Opportunities to develop new skills and progress your career.
  • The freedom and flexibility to handle your role in a way that’s right for you.