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1769 jobs found for Senior Operational Risk Analyst

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  • incident collation system (iGOLD / MyIncidents) is remediated from a Data Quality perspective OP Risk Tactical generation/parallel Run/Controls set up - Preparation, generation of different operational loss reports - Generate Operation Risk Report variants - Set up and perform controls required Experience: Min. 5 years of work experience in a Financial Institution - Experience as a BA within a Operational Risk ...

  • Essentials Skills and Qualifications: Graduate/ Post-Graduate in Finance/ Statistics/ Economics/ Mathematics; FRM / CFA would be desirable. Experience of delivering quality output under tight deadlines. Strong understanding of Market Risk concepts, calculations and prevalent regulatory guidelines

  • Essentials Skills and Qualifications: Graduate/ Post-Graduate in Finance/ Statistics/ Economics/ Mathematics; FRM / CFA would be desirable. Experience of delivering quality output under tight deadlines. Strong understanding of Market Risk concepts, calculations and prevalent regulatory guidelines

  • Masters degree in the field of finance / accounting Preferable to have additional certification courses like FRM / PRM / CFA Experience in the field of Credit / Market risk. (Preferably in the banking sector.) Understanding of different asset classes, risk classes and risk types and market data

  • Masters degree in the field of finance / accounting Preferable to have additional certification courses like FRM / PRM / CFA Experience in the field of Credit / Market risk. (Preferably in the banking sector.) Understanding of different asset classes, risk classes and risk types and market data

  • Strong knowledge of derivative products and their market risk dynamics. Understanding of end-to-end market risk scenarios process framework and workflow for Rates, FX, Equity, Commodity, Credit and EMG businesses. Propose, calibrate & implement business cluster / regulatory specific scenarios

  • Strong knowledge of derivative products and their market risk dynamics. Understanding of end-to-end market risk scenarios process framework and workflow for Rates, FX, Equity, Commodity, Credit and EMG businesses. Propose, calibrate & implement business cluster / regulatory specific scenarios

  • Strong knowledge of derivative products and their market risk dynamics. Understanding of end-to-end market risk scenarios process framework and workflow for Rates, FX, Equity, Commodity, Credit and EMG businesses. Propose, calibrate & implement business cluster / regulatory specific scenarios

  • Key Responsibilities: System first level support; Grant and remove privileged access to users Co-ordinate quarterly access reviews of privileged accounts Create regulatory reporting record and enter basic data i.e. region, owner, owner delegate so that owner can complete detailed information Add values to drop-down fields as required Run (high-level) quality control checks for incomplete / inconsistent ...

  • Oral and written communication Working independently MS Office skills Analytical skills Client relationship Consulting and relationship building Leadership Conflict management Ability to think globally Risk management Knowledge required: LOB knowledge Business processes and procedures Product

  • Oral and written communication Working independently MS Office skills Analytical skills Client relationship Consulting and relationship building Leadership Conflict management Ability to think globally Risk management Knowledge required: LOB knowledge Business processes and procedures Product

  • Oral and written communication Working independently MS Office skills Analytical skills Client relationship Consulting and relationship building Leadership Conflict management Ability to think globally Risk management Knowledge required: LOB knowledge Business processes and procedures Product

  • The IT Risk and Control analyst are responsible for performing reviews of requests for implementation of firewall rules and approving or rejecting in accordance with the Information Security Policy, Standards and Guidelines. Primary responsibility is to support the INCR domain which is functionally

  • Analytics- Risk team is responsible for developing integrated risk strategies, providing business inferences, supporting the modelling \ forecasting \ provisioning needs and management information reporting along with developing the Data Visualization solutions to cater the Reporting requirements

  • 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 ...

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