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Product Manager Risk Management & Backoffice Department: Product Management Location: Kolkata Reporting To: Head of Product Experience: 48 Years Employment Type: Full-Time Domain: Risk, Compliance, Backoffice Operations RO LE SUMMARY The Product Manager Risk Management will own the product roadmap for systems to improve the workflow for risk, margin, trade surveillance, ledger, settlement, and regulatory reporting. This role requires deep understanding of SEBI regulations, exchange risk frameworks, and post-trade operations, with the ability to translate complex requirements into clearly scoped product deliverables. As a Risk Management Product Manager, you will translate complex risk and compliance requirements into seamless, low-friction customer experiences. You will act as the bridge between risk, engineering, and customers, continuously optimizing decision systems and touchpoints using data-driven insights. KEY RE SPO N SI BI LI T I ES Risk Management Own product for real-time risk dashboards, pre- trade controls, position limits, and MTM P&L views Product Delivery Write PRDs, BRDs, and user stories with clear acceptance criteria and edge case documentation Define margin product layer aligned with SEBI Plan and execute UAT with operations, risk, and SPAN, VaR, ELM, and upfront margin circulars compliance teams before every release Manage collateral haircut rules, margin call workflows, and dealer-level risk limit configurations Maintain prioritised backlog aligned to regulatory deadlines, business risk, and operational efficiency Work on process automation and risk requirements Compliance & Surveillance with the RMS OMS providers. Ensure all product features conform to SEBI circulars, NSE/BSE risk frameworks, and PMLA norms Coordinate with Vendor for development of new features. Q UALI FI CAT I O NS & SKI LLS Required Preferred 48 years of product management experience in Exposure to multi-segment broking: Equity Cash, fintech or capital markets technology F&O, Currency Derivatives, Commodities Working knowledge of SEBI margin framework: Familiarity with RMS tools: Prism, Symphony SPAN, ELM, VaR, upfront margins Fintech, or OMS-embedded risk modules Hands-on experience in Risk or settlement Understanding of CDSL/NSDL DP systems and product: reconciliation, DP, contract notes demat account workflows Familiarity with clearing and settlement lifecycle Experience with data/BI tools for ops analytics: across NSE, BSE, or MCX segments SQL, Metabase, or Power BI Proven ability to translate regulatory mandates Working experience with OmniNest. into engineering-ready product specifications Strong PRD/BRD authoring and structured UAT delivery for compliance-critical features Ashika Group | Product Manager Risk Management | Confidential Product Manager Risk Management & Backoffice Department: Product Management Location: Kolkata Reporting To: Head of Product Experience: 48 Years Employment Type: Full-Time Domain: Risk, Compliance, Backoffice Operations RO LE SUMMARY The Product Manager Risk Management will own the product roadmap for systems to improve the workflow for risk, margin, trade surveillance, ledger, settlement, and regulatory reporting. This role requires deep understanding of SEBI regulations, exchange risk frameworks, and post-trade operations, with the ability to translate complex requirements into clearly scoped product deliverables. As a Risk Management Product Manager, you will translate complex risk and compliance requirements into seamless, low-friction customer experiences. You will act as the bridge between risk, engineering, and customers, continuously optimizing decision systems and touchpoints using data-driven insights. KEY RE SPO N SI BI LI T I ES Risk Management Own product for real-time risk dashboards, pre- trade controls, position limits, and MTM P&L views Product Delivery Write PRDs, BRDs, and user stories with clear acceptance criteria and edge case documentation Define margin product layer aligned with SEBI Plan and execute UAT with operations, risk, and SPAN, VaR, ELM, and upfront margin circulars compliance teams before every release Manage collateral haircut rules, margin call workflows, and dealer-level risk limit configurations Maintain prioritised backlog aligned to regulatory deadlines, business risk, and operational efficiency Work on process automation and risk requirements Compliance & Surveillance with the RMS OMS providers. Ensure all product features conform to SEBI circulars, NSE/BSE risk frameworks, and PMLA norms Coordinate with Vendor for development of new features. Q UALI FI CAT I O NS & SKI LLS Required Preferred 48 years of product management experience in Exposure to multi-segment broking: Equity Cash, fintech or capital markets technology F&O, Currency Derivatives, Commodities Working knowledge of SEB
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