in their sector teams – either directly at M2 (Senior Manager) grade and above, or overseeing recruitment below this grade - ensuring... and considerable use of psychometric testing activity and feedback. Method of Application Interested and qualified? Go...
The Manager of Information Security is responsible for information technology (IT) risk management, which entails risk... requirements and industry standards. Conduct vulnerability assessments, penetration testing, and health checks on the Bank...
The Market risk Manager shall be responsible for the measurement, monitoring, control and reporting of the Bank... exercises for Market Risk Measurement. Conduct stress testing on trading book as well as treasury investment portfolio. Assist...
and reporting to the Operational Manager. This role requires an understanding that consular affairs significantly impact... vigilant to irregularities encountered during their tasks and inform their line manager when necessary. Additionally, the...
who will be responsible for executing consular tasks accurately and reporting to the Operational Manager. This role... during their tasks and inform their line manager when necessary. Additionally, the Consular Officer will identify emerging consular...
and reporting to the Operational Manager. This role requires an understanding that consular affairs significantly impact... vigilant to irregularities encountered during their tasks and inform their line manager when necessary. Additionally, the...
that require marketing support Contribute to the development of annual strategic marketing plans and support the Marketing Manager... campaigns. Foster and support a culture of iterative testing and optimisation of digital marketing activity. Are you the...
that require marketing support Contribute to the development of annual strategic marketing plans and support the Marketing Manager... campaigns. Foster and support a culture of iterative testing and optimisation of digital marketing activity. Are you the...
user feedback on testing of the Mock-up Zoom meeting 4 – 6 weeks after contract signing Late May 2025 Live Version... consultant will be reporting to the RAPID+ Water Intervention Manager while keeping a close working relationship with the Program...
Nifty 50 index peaked at 26,277 in FY25 before experiencing a significant decline. Analysts predict it will recover to between 26,000-26,500 by FY26, fueled by appealing valuations and returning foreign investments amid easing inflation. Continue Reading »
Foreign portfolio investors showed unpredictability in Indian equities in 2025, with significant outflows in early months followed by buying in March. Despite a 6% recovery in the Nifty, concerns over global trade tensions and tariff policies keep market sentiment fragile. Continue Reading »
Pankaj Pandey from ICICI Securities anticipates a recovery in India Inc.'s earnings by FY26. He notes that market valuations have improved, providing long-term investment opportunities. Pandey highlights top stock picks in the IT, defence, and banking sectors amidst a volatile market. Continue Reading »
Himanshu Kohli, Co-founder of Client Associates, believes the Nifty level of 23,500 is reasonable with a year-end target of 26,000. He advises investors to be cautious of profit-booking in overbought segments and emphasizes the need for broad-based earnings growth for future rallies. Continue Reading »
Fineotex Chemical, backed by Ashish Kacholia, has seen promoter buying amid a fall in the company's stock. While long-term gains exceed 1,400%, recent financial results show decreased sales and profits, indicating ongoing challenges for the company. Continue Reading »
The Indian stock market faced significant challenges in FY25, impacting major conglomerates. Only Aditya Birla Group saw market cap growth, while others like Adani, Reliance, and Tata experienced declines, driven by share price losses and external pressures such as trade wars and investor sell-offs. Continue Reading »
Aggressive US tariffs spark panic in Asian markets, with Japan's Nikkei plummeting over 4% and Korea's Kospi shedding 3%. Economists predict rising inflation and a potential US recession, igniting fears of a global trade war. What does this mean for investors? Continue Reading »