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17/05 Karan Madhok
Manager - Risk/Digital & Analytics Practice at Michael Page India

Views:2557 Applications:98 Rec. Actions:Recruiter Actions:11

Credit Risk Reporting & Analytics - Investment Banking (5-10 yrs)

Chennai Job Code: 144753

About Our Client

Our client is a leading financial services organization across the globe. With 60+ offices in more than 20 countries they are a world leader in providing risk based solution to leading organizations across the globe. As their business in India is expanding, and are looking for a professional to help achieve their expansion plans.

Job Description

Reporting into the Risk Lead, you shall be part of a newly created team and your key responsibilities shall be:

- Ensure Risk Data quality controls and assurance for risk and reporting systems as per the guidelines laid down by Regulators (CRD IV, Basel) and internal credit policies.

- Perform Basel & Non Basel reconciliations, data validations and issue tracker management to provide Level 1 sign off while representing Risk in key Global Risk forums.

- Help Credit in better limit excess management by identifying coverage, accuracy and limit & exposure matching gaps.

- Help Finance in reducing RWA by providing PD & LGD adjustment reports on monthly basis and consistently investigating the gaps for increasing the scope for RWA savings.

- Build expertise around Risk data and contribute towards establishing of framework for key regulatory requirements like RRP and FDSF.

- Driving continuous improvement to data quality and management of data remediation projects.

- Project Management for key Risk deliveries including new change implementation and production fixes which includes BRD sign off, issue prioritizations, UAT & Signoffs on the behalf of Credit Risk managers.

- Provide additional support to Credit for maintaining data quality of credit reporting dashboards and providing SAS BI packs where the risk data is not available on standard reporting tools.

- Help other teams within Risk C&I to close the reporting & control requirements by providing expertise on SAS & other BI tools.

The Successful Applicant

- More than 4 years of experience within Global Markets or Investment Banking environment

- Excellent understanding of credit risk reporting along with exposure across banking book product set

- Strong understanding of SAS, VBA, OBIEE & SQL

- Knowledge of key functions performed by other support areas (Finance/Controllers, Market Risk, Credit Risk, Operational Risk)

- Ability to think strategically and to execute into business process and technology solutions

- Highly developed creative skills to resolve complex problems and/or identify alternatives where established procedures may not exist

What's on Offer

Excellent work life balance in a very meritocratic culture with leading MNC. This role would offer you variation, stability and career progression in addition to a highly competitive compensation.

This job opening was posted long time back. It may not be active. Nor was it removed by the recruiter. Please use your discretion.

Women-friendly workplace:

Maternity and Paternity Benefits

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