Number of Vacancies
- 40
Important Dates
Particulars | Date |
---|---|
Opening Date for On-line Registration | 22.04.2022 |
Closing Date for On-line Registration (Including for Candidates from Far-Flung Areas) | 07.05.2022 |
Tentative Date of On-line Examination | 12.06.2022 |
Eligibility Criteria
Educational Qualification
- Chartered Accountant(CA) from Institute of Chartered Accountants of India/Cost Management Accountant- CMA (ICWA) from Institute of Cost Accountants of India.
OR
- Chartered Financial Analyst (CFA) from CFA Institute (USA).
OR
- Graduation Degree in any discipline with minimum 60% marks in aggregate (Institute should be recognized/approved by Govt. bodies/AICTE/UGC and course completed through correspondence/part time/distance mode will not be considered)
AND
i. Full time MBA in Finance or PGDM in Finance or equivalent Post Graduation degree 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 course with Minimum 60% marks in aggregate) (Institute should be recognized/approved by Govt. bodies/AICTE/UGC and course completed through correspondence/part time /distance mode will not be considered
OR
ii. Masters in Mathematics/ Statistics/ Economics with Minimum 60% marks in aggregate* - *(Institute should be recognized/approved by Govt. bodies/AICTE/UGC and course completed through correspondence/part time /distance mode will not be considered)
OR
iii. Certification in Financial Risk Management from Global Association of Risk Professionals (GARP) (USA) OR
iv. Professional Risk Management Certification from PRMIA Institute.Desirable
- Certificate Examination in Risk in Financial Service, IIBF
- Certification Course in Risk Management, NIBM
- Diploma in Treasury, Investment & Risk Management (DTIRM), IIBF
- CAIIB with specialization in Risk Management
Age
- Minimum: 25 years, Maximum: 35 years (As on 01.01.2022)
Post Qualification Work Experience
- Minimum 1 year of post-qualification experience in Nationalized or Private Sector Bank/ PSU/ NBFC/Financial Institution as an officer in the area of Risk, Credit, Forex, Treasury and Finance.
Exam pattern
Parts |
Name of Test |
No. of Questions |
Maximum Marks |
Duration |
---|---|---|---|---|
Part I |
Reasoning |
40 |
40 |
25 Minutes |
English Language |
40 |
40 |
25 Minutes |
|
Quantitative Aptitude |
40 |
40 |
25 Minutes |
|
Part II |
Professional Knowledge |
50 |
100 |
45 Minutes |
Course Features
Team BankExamsToday is offering is a full-fledged and a comprehensive course for the preparation of PNB SO Scale-II Manager (Risk) Exam, 2022. The course offers you an insight of the prescribed topics with the help of video lectures. Each video lecture is followed by notes and sectional quiz for the complete understanding of the concepts. The course has following characteristics:
- Video classes for Examination
- Complete study material in PDF
- Chapter-wise tests
- Systematic study plan
- Interview preparation guide
Syllabus for PNB SO Scale-II Manager (Risk) 2022
Quantitative Aptitude
- Data Interpretation
- Boats and Streams
- Time and Work
- Time, Speed and Distance
- Partnership
- Mixtures and Alligation
- Ages and Average
- Profit and Loss
- Percentage and Interest
- Problems on Trains
- Pipes and Cisterns
- Area and Volume
- Number Series
- Linear equations
- Quadratic equations
- Data sufficiency
Reasoning
- Puzzles
- Seating Arrangement
- Machine Input Output
- Order and Ranking
- Inequalities
- Problems based on ages
- Statement and Assumptions
- Statement and Conclusion
- Coding-Decoding
- Statement and Argument
- Venn Diagram/Syllogism
- Blood Relation
- Direction and Distance
English
- Reading Comprehension
- Cloze Test
- Error Spotting
- Double Fillers
- Sentence Rearrangement
- Vocabulary Based Questions
Professional Knowledge Manager/Senior Manager (Risk)
- 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