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661 jobs found for Risk Management Analyst Job Description

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  • or to guide decision making rooted in business context. Accountable for marketing optimization, portfolio analysis, risk analysis, digital analytics etc with the help of banks database. Need to develop credit scores to predict individuals delinquency behavior and also scores are widely used to evaluate Desired Skills and Expertise: A good number cruncher with 1- 3 years of experience in Statistical ...

  • Job Description The role is primarily responsible for reviewing technical specifications of trading and risk management systems Risk management for manual and algo trading activity for both Domestic and International markets Review changes proposed in trading system / platforms and assess its

  • Job Description The role is primarily responsible for reviewing technical specifications of trading and risk management systems Risk management for manual and algo trading activity for both Domestic and International markets Review changes proposed in trading system / platforms and assess its

  • launch Follow-ups through completion Prepare and distribute Management Reporting Application Support MARCS application Support Collate change suggestions and requests from users for integration into BoW planning Participate in UAT testing and ensure identified issue(s) are appropriately raised with MARCS Desired Skills and Qualifications: Good knowledge of MS Office suite of applications (Word, Excel ...

  • in strategic Op Risk processes - Support and execute parallel Op Risk processes on both tactical and strategic platform. Experience: Min. 5 years of work experience in a Financial Institution - Experience as a BA within a Operational Risk environment is highly advantageous - Good understanding of the regulatory environment - Excellent communication skills - High attention to details and ability to deal with ...

  • and limit parameterisations Identification of the key risks associated with key business lines and asset classes. 2 5 years of experience in Quantitative / Risk management / Treasury asset management role in financial institution Excellent problem solving capabilities Excellent verbal and written communication skills Sound understanding of financial markets and products with strong analytical skills ...

  • Responsibilities : - Work with Risk Analytics/Quant modeling teams in delivering various analytical projects - Perform ad-hoc quantitative modeling assignments - Validate & document models following model risk management guidelines and standards - Make presentations to client stakeholders Required Background : - 0 - 3 years (across levels) of relevant risk analytics/quantitative analytics experience - PhD or ...

  • Responsibilities : - Work with Risk Analytics/Quant modeling teams in delivering various analytical projects - Perform ad-hoc quantitative modeling assignments - Validate & document models following model risk management guidelines and standards - Make presentations to client stakeholders Required Background : - 0 - 3 years (across levels) of relevant risk analytics/quantitative analytics experience - PhD or ...

  • service to publish latest security vulnerabilities & threats, advisories, and incidents Conduct periodic Vulnerability Assessment and Reporting Collaborates with the Cyber Security Incident Response Team on new platform functionality Collaborates with Cargills Technology Governance, Risks, and Controls Qualifications Education Bachelors/Masters degree in Information Technology with 3-6 years of ...

  • Take ownership of each client & customer while empathizing and prioritizing their needs Resolve conflicts and manage clients' expectations Determine customer needs and provide appropriate solutions through relationship building Effective verbal and written communication with both external

  • Take ownership of each client & customer while empathizing and prioritizing their needs Resolve conflicts and manage clients' expectations Determine customer needs and provide appropriate solutions through relationship building Effective verbal and written communication with both external

  • Take ownership of each client & customer while empathizing and prioritizing their needs Resolve conflicts and manage clients' expectations Determine customer needs and provide appropriate solutions through relationship building Effective verbal and written communication with both external

  • Take ownership of each client & customer while empathizing and prioritizing their needs Resolve conflicts and manage clients' expectations Determine customer needs and provide appropriate solutions through relationship building Effective verbal and written communication with both external

  • Take ownership of each client & customer while empathizing and prioritizing their needs Resolve conflicts and manage clients' expectations Determine customer needs and provide appropriate solutions through relationship building Effective verbal and written communication with both external

  • or to guide decision making rooted in business context. Accountable for marketing optimization, portfolio analysis, risk analysis, digital analytics etc with the help of banks database. Need to develop credit scores to predict individuals delinquency behavior and also scores are widely used to evaluate Desired Skills and Expertise: A good number cruncher with over 7 years of experience in Statistical ...

  • Key Responsibilities Cash + Liquidity Preparation - Manage liquidity - Optimise Interest expense/ earnings - Manage all inter-company flows - Manage bank fees FX Risk Management - Ensure all FX exposures are highlighted to the Treasury Manager - Execute with the banks and ensure all FX deals

  • Key Responsibilities Cash + Liquidity Preparation - Manage liquidity - Optimise Interest expense/ earnings - Manage all inter-company flows - Manage bank fees FX Risk Management - Ensure all FX exposures are highlighted to the Treasury Manager - Execute with the banks and ensure all FX deals

  • Key Responsibilities Cash + Liquidity Preparation - Manage liquidity - Optimise Interest expense/ earnings - Manage all inter-company flows - Manage bank fees FX Risk Management - Ensure all FX exposures are highlighted to the Treasury Manager - Execute with the banks and ensure all FX deals

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