Risk Manager
Zanskar · GIFT City · India · On-site
Posted Oct 5, 2026
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Job Title: Risk Manager
Location: GIFT City, Gandhinagar
Experience: 2–5 Years
Employment Type: Full-Time (On-site)
Function: Risk & Compliance
Role Overview
We are seeking a Risk Manager to take end-to-end ownership of capital monitoring, exchange compliance, and internal risk control systems. The role ensures adherence to exchange norms, minimizes margin penalties, and supports smooth trading operations across proprietary and institutional desks.
Key Responsibilities
Monitor margin utilization across trading books (prop and institutional), especially for leveraged products (Futures & Options)
Implement internal risk thresholds before exchange-imposed limits
Ensure strict compliance with SEBI, NSE, and BSE regulations, including: Peak Margin Framework
Intraday Snapshot-Based Margin Checks
Utilization and Exposure Limits
Collaborate with internal trading desks to pre-empt risk breaches, reduce exposure, and maintain required buffers
Work closely with tech teams to define alerting logic and dashboards for real-time risk visibility
Track and interpret regulatory updates, circulars, and RMS advisories; implement changes swiftly
Design and evolve internal risk segmentation frameworks based on client AUM, trade frequency, and product type
Requirements
2–5 years of experience in risk management at a stockbroking firm, trading desk, or HFT platform
Strong working knowledge of: SEBI risk guidelines
NSE/BSE compliance requirements
RMS mechanisms (Peak Margin, RRM, Snapshot-based checks)
Prior experience using risk tools such as N Prime, Fincorp, Omnesys, or similar
Demonstrated ability to own and adapt RMS logic, not just execute existing rules
Experience managing non-retail clients and high-frequency trading strategies
Strong communication skills — especially in coordinating with trading, ops, and engineering teams under pressure
Preferred (Nice to Have)
Experience with tick-level monitoring, automated risk triggers, or real-time dashboards
Understanding of options trading behavior and its impact on exposure & margin
Prior experience with capital allocation across internal trader pods