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501 jobs found for Risk Management Analyst Description

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  • 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 ...

  • like Basel, FRTB, BSBS 239 etc. Knowledge of individual regulatory specifications like FDSF, Volcker etc. would be beneficial. Knowledge of Market Risk principles and general principles and regulations for risk management 2-4 years experience in reporting and analysis of Market Risk

  • like Basel, FRTB, BSBS 239 etc. Knowledge of individual regulatory specifications like FDSF, Volcker etc. would be beneficial. Knowledge of Market Risk principles and general principles and regulations for risk management 2-4 years experience in reporting and analysis of Market Risk

  • market scenario conditions. Interact with scenario counterparts who are primarily the business clusters/desk to provide in-depth analysis on the market risk scenario dynamics. Essentials Skills and Qualifications: Masters Degree in Finance/Economics. Experience with systems and process based risk

  • market scenario conditions. Interact with scenario counterparts who are primarily the business clusters/desk to provide in-depth analysis on the market risk scenario dynamics. Essentials Skills and Qualifications: Masters Degree in Finance/Economics. Experience with systems and process based risk

  • market scenario conditions. Interact with scenario counterparts who are primarily the business clusters/desk to provide in-depth analysis on the market risk scenario dynamics. Essentials Skills and Qualifications: Masters Degree in Finance/Economics. Experience with systems and process based risk

  • 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 the credit worthiness of each applicant

  • methods. Prepare and present complex and detailed reports with the use of descriptive techniques and predictive models to gain valuable knowledge from data analysis. The insights from data are used to recommend action or to guide decision making rooted in business context. Accountable for marketing 1. A good number cruncher. 2. Ability/willing to write statistical program like SAS, R etc. 3. Ability to ...

  • 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 ...

  • such as Archer or Open Pages is preferred Qualifications: *Bachelor's degree (No Correspondence) 4.5 to 6 years of experience in Technology Controls, Information Security or IT Audit Related experience in project management, technology risk, and financial services Previous experience working with varied

  • such as Archer or Open Pages is preferred Qualifications: *Bachelor's degree (No Correspondence) 4.5 to 6 years of experience in Technology Controls, Information Security or IT Audit Related experience in project management, technology risk, and financial services Previous experience working with varied

  • 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 ...

  • for the Groups RMM and the Global Banking and Markets Risk Management Committee. Preparation of Issuer Risk reports, EAD reports and other Credit Risk reports. Perform various UATs with respect to the Risk systems and provide signoff on the functional aspect. Other analyses will be needed on an ad hoc basis ...

  • for the Groups RMM and the Global Banking and Markets Risk Management Committee. Preparation of Issuer Risk reports, EAD reports and other Credit Risk reports. Perform various UATs with respect to the Risk systems and provide signoff on the functional aspect. Other analyses will be needed on an ad hoc basis ...

  • 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 ...

  • We are looking out for a candidates who are having good exposure on Market Risk. 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

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