1. Manager (Risk) – MMGS-II
No of posts: 40 [SC-06, ST-03, OBC-11, EWS-04, UR-16]
Scale of Pay: 48170-1740/1-49910-1990/10-69810
Age Limit: 25 to 35 years
Educational Qualification:
Essential:
A. Chartered Accountant(CA) from Institute of Chartered Accountants of India/Cost Management Accountant- CMA (ICWA) from Institute of Cost Accountants of India OR
B. Chartered Financial Analyst (CFA) from CFA Institute (USA). OR
C. Graduation Degree in any self-discipline with minimum 60% marks in mixture AND
Full time MBA in Finance or PGDM in Finance or equivalent Post Graduation level with specialization in Finance (Minimum 2 Years path with Minimum 60% marks in mixture)
Desirable: Certificate in Commercial Credit, Moody’s Analytics.
Post Qualification Work Experience: Minimum 1 year of post-qualification enjoy in Nationalized or Private Sector Bank/ PSU/ NBFC/Financial Institution/ Credit Rating Agency as an officer in the space of Credit and Finance.
2. Manager (Credit) – MMGS-II
No of posts: 100 (*5*)
Scale of Pay: 48170-1740/1-49910-1990/10-69810
Age Limit: 25 to 35 years
Educational Qualification:
Essential:
A. Chartered Accountant(CA) from Institute of Chartered Accountants of India/Cost Management Accountant- CMA (ICWA) from Institute of Cost Accountants of India OR
B. Chartered Financial Analyst (CFA) from CFA Institute (USA). OR
C. Graduation Degree in any self-discipline with Minimum 60% marks in mixture AND
i. Full time MBA in Finance or PGDM in Finance or equivalent Post Graduation level with specialization in Finance /Post Graduate Diploma in Banking and Financial Services (PGDBF) by NIBM Pune/Masters in Financial Management (MFM)/ Masters in Finance and Control (MFC (Minimum 2 Years path with Minimum 60% marks in mixture) OR
ii. Masters in Mathematics/ Statistics/ Economics with Minimum 60% marks in mixture OR
iii. Certification in Financial Risk Management from Global Association of Risk Professionals (GARP) (USA) OR
iv. (*10*) Risk Management Certification from PRMIA Institute.
Desirable:
1. Certificate Examination in Risk in Financial Service, IIBF
2. Certification Course in Risk Management, NIBM
3. Diploma in Treasury, Investment & Risk Management (DTIRM), IIBF
4. CAIIB with specialization in Risk Management
Post Qualification Work Experience: Minimum 1 year of post-qualification enjoy in Nationalized or Private Sector Bank/ PSU/ NBFC/Financial Institution as an officer in the space of Risk, Credit, Forex, Treasury and Finance.
3. Senior Manager (Treasury) – MMGS-III
No of posts: 05 [SC-00, ST-01, OBC-01, EWS-00, UR-03]
Scale of Pay: 63840-1990/5-73790-2220/2-78230
Age Limit: 25 to 37 years
Educational Qualification:
Essential:
A. Chartered Accountant(CA) from Institute of Chartered Accountants of India/Cost Management Accountant- CMA (ICWA) from Institute of Cost Accountants of India OR
B. Chartered Financial Analyst (CFA) from CFA Institute (USA). OR
C. Graduation Degree in any self-discipline with Minimum 60% marks in mixture AND
Full time MBA in Finance or PGDM in Finance or equivalent Post Graduation level with specialization in Finance (Minimum 2 Years path with Minimum 60% marks in mixture)
Desirable:
1. Certificate Treasury Dealer Course, IIBF.
2. Certificate Course in Treasury Management, NIBM.
3. CAIIB
4. Diploma in Treasury, Investment & Risk Management (DTIRM), IIBF
Post Qualification Work Experience: Minimum 3 years of banking enjoy in officer cadre with minimum 2 years as an officer in Treasury of (*145*) Nationalized or Private Sector Bank. OR
Minimum 3 years enjoy of working with number one broker.