Important Dates
Particulars |
Date |
Commencement date of on-line application |
3rd February 2024 |
Last Date of the online application |
23rd February 2024 |
Date of Online Examination |
Tentaive |
Number of Vacancies
Post / s |
Minimum Age |
Maximum Age as on (01.02.2024) |
Total Vacancies |
Senior Risk Manager Scale III |
25 |
35 |
20 |
Relaxation in Age Limit
Category |
Age Relaxation |
Scheduled Caste/ scheduled Tribe Candidates |
By 5 years |
Other Backward classes (OBC) Candidates (Non-Creamy layer) |
By 3 years |
Persons with Benchmark Disability (PwBD) –
|
By 10 years |
Ex-Servicemen, Commissioned Officers, including Emergency Commissioned Officers (ECOs/Short Service Commissioned Officers (SSCOs) who have rendered at least 5 years military service and have been released on completion of assignment (Including those whose assignment is due to be completed within one year from the date of notification) otherwise than by way of dismissal or discharge on account of misconduct or inefficiency or physical disability attributable to military service or invalidment. |
By 5 years |
Persons affected by 1984 riots |
By 5 years |
Qualification (As on 23.02.2024)
Posts |
Qualifications |
Senior Risk Manager Scale III |
Graduate in any discipline from a University/Institution recognized by Govt. of India/approved by Govt. Regulatory bodies. And Certificate in Financial Risk Management from Global Association of Risk (GARP). OR Professional Risk Management Certification from PRIMA Institute. OR Holder of Chartered Financial Analyst (CFA) from CFA Institute, USA. OR CA/CMA(ICWA)/CS. OR Full time regular MBA (Finance)*/PGDM (with specialization in Finance) * with minimum of 60% marks in aggregate from a University /Institution/ recognized by Govt. of India/approved by Govt. Regulatory bodies (Minimum 55% for SC/ST/OBC/PwBD candidates). OR Masters in Math/Statistics or Econometrics with minimum of 60% marks in aggregate from a University /Institution recognized by Govt. of India/approved by Govt. Regulatory bodies. (Minimum 55% for SC/ST/OBC/PwBD candidates). OR Certification in Sustainability and Climate Risk (GARP-SCR). *The course must be of full time 2 years. In case of dual specializations, major specialization should be in the stream prescribed. Desirable:
|
Experience (As on 23.02.2024)
Posts |
Experience |
Senior Risk Manager Scale III |
Minimum 5 year of post qualification experience as an Officer in Scheduled Public Sector Banks/ Scheduled Private Sector Banks/NBFCs/SFBs/Rating Agencies/ Analytics Firms/Reputed Brokerage Agencies/Fintech Institutions. Out of which, 3 years’ experience must be in Risk Functions. Risk Function classified as: -
|
Probation Period
Scale |
Probation Period |
Scale III |
2 years |
Service Indemnity Bond
Selection Procedure
The selection process may comprise of Online Examination / Group Discussion (if conducted)/Screening of applications and / or Personal Interview depending on the numbers of applicants/eligible candidates. The Bank reserves the absolute right to decide as to whether to use all or any of these modes for selection for the notified posts.
Name of section |
No. of questions |
Time allotted |
Professional knowledge |
100 |
120 Minutes |
Total |
100 |
120 Minutes |
The test will be available bilingually, i.e. English and Hindi.
Note: There will be a penalty for wrong answers marked in the online examination. For each question for which a wrong answer has been given by the candidate, one fourth or 25% of the marks assigned to that question will be deducted as penalty to arrive at corrected score. If a question is left blank, i.e. no answer is marked by the applicant; there will be no penal mark for that question.
Syllabus
Professional Knowledge
- RBI Circulars
- Ratio analysis
- Cost of capital
- Capital budgeting
- Time value of money
- Types of Bonds and Issuers
- Corporate Debt and Funding Alternatives
- Asset-Backed Securities
- Credit Analysis - Credit Risk and Bond Ratings
- Evaluating Credit Quality
- Types of risks
- Derivatives: Forwards, Futures, Swaps and Options
- Basics of Derivative Pricing and Valuation
- Forwards and Futures Valuation
- Forward Rate Agreements and Swap Valuation
- Option Valuation and Put-Call Parity
- Alternative Investments
- Market Organization and Structure
- Positions and Leverage
- Order Execution and Validity
- Fixed-Income Securities: Valuation, Risk and return
- Bond Indentures, Regulation, and Taxation
- Fixed-Income Markets: Issuance, Trading, and Funding
- Portfolio Management: Introduction and Process
- Portfolio Risk and Return
- Returns Measures
- Covariance and Correlation
- Systematic Risk and Beta
- CAPM
Stream/Category Specific Questions
Module A
Overview of Credit- Principles of lending
- Credit policy
- Types of borrowers & types of credit facilities
- Credit delivery
- Credit Appraisal
- Credit rating
Module B
Analysis of Financial Statements- Basics of Financial statements
- Ratio analysis
- Cash flow statement
- Fund flow statement
- Project appraisal
- Working capital management
Module C
Financial management- Indian Financial System
- Regulatory bodies in India
- Money market and Capital market instruments
- Time value of money
- Basics of derivatives
- Leverages
- Capital budgeting
Module D
Other credits- Export finance
- Priority sector lending
- Non-fund based Credit Facilities
- Government sponsored schemes
- Retail loans
Module E
Management of Impaired assets- Documentation
- IRAC norms
- Types of charges
- Management of impaired assets
- IBC 2016
- SARFAESI ACT
Module F
RBI circulars and related laws- RBI circulars (1 year)
- Companies act
- Contract act 1872
- Banking regulation 1949
- RBI act 1934
- Negotiable instruments act 1881
- Payment and settlement act 2007
Banking Present Economic Scenario General Awareness
- Banking Reforms
- Regulatory Bodies in India- NABARD, SEBI etc.
- International Banking
- Latest circulars of RBI and SEBI
- Latest Updates in Financial & Capital Markets
- Financial Terms
- Banking Terms
- Latest Acts related to Banking
- Priority Sector Lending
- NPA - latest news
- SARFAESI Act
- RBI Monetary Policy
- Capital & Money Market Instrument
- Commercial Banks, NBFCs, HFC - Latest news
- Mergers and Acquisitions in Banking Companies
- Credit Rating and Agencies
- Payment Options- NEFT, RTGS, Bharat Bill payment etc.
- Complete List of Obituaries
- Recently Appointed Brand Ambassadors List
- Monthly GK Digests
- Ministry of Cabinet Ministers
- Renamed Govt. Schemes, Cities, Airports & Railway Stations
- Indian Financial System
- Financial market instruments
- International reports and indices
- Important committees
- Foreign investment and trade
- Growth numbers by various organization
- Union budget
- Latest mergers and MOUs of banks and financial institutions
- Heads of various financial organizations
- Mutual Funds
- Basel Norms
- Regulatory organizations: SEBI/NABARD/RBI
- Joint Military Exercises of India
- List of Summits and Conferences
- India's Rankings in Different Indices
- List of Appointments
- List of Important Days With Themes
- List of MoUs signed by India
- Upcoming Sports Event From
- List of Sports Events & Winners
- Awards and Honours
Union Bank of India Senior Risk Manager Scale III Course by Team BankExamsToday
- Daily video classes
- Study Material
- Live sessions
- Unit tests
- Special attention to Professional knowledge section from Day 1
- 5 full-length mock tests
- Interview preparation guide