01Responsibilities
Work on regulatory and CCR/PB risk management driven initiatives on tighter controls on credit risk (recent examples include comprehensive stress framework covering liquidity risk) Support downstream stakeholders with their ad-hoc data queries Develop mechanisms for effective management of risks and controls within agreed risk appetites Identify issues and control gaps in existing infrastructure with an aim to improve it. Identify, Validate, escalate and remediate data issues by collaborating with various upstream teams and Risk Managers Prepare and deliver BAU reports to CCR & PB Risk Managers and collaborate with Technology teams for issue remediation.
02Requirements
Education : Masters degree in Finance, FRM/CFA is good to have Experience Range: 3-5 years Foundational Skills: Critical Thinking Risk Management Understanding of Financial Instruments Risk and Data Analytics Adaptability Collaboration Problem Solving Excel, Python, JIRA Desired Skills: Problem Solving skills Knowledge or prior experience on Counterparty Credit Risk, Market Risk, Stress Framework Good communication skills Job Location: Mumbai Work timings: 12 pm to 9pm IST Experience Level Senior Level .