Posted:3 hours ago|
Platform:
On-site
Part Time
Date live:
08/21/2025Business Area:
RiskArea of Expertise:
Risk and Quantitative AnalyticsContract:
PermanentReference Code:
JR-0000068264Join us as a AVP - Capital Analytics & Reporting at Barclays, where you'll spearhead the evolution of our digital landscape, driving innovation and excellence. You'll harness cutting-edge technology to revolutionise our digital offerings, ensuring unapparelled customer experiences.
Overall purpose of role
The BI RIS WCR IFRS9 team is responsible for the production and review of timely, accurate and complete Expected Credit Loss metrics to support internal MI and external financial reporting. The role holder will be a key contributor to the IFRS9 Impairment process, ensuring high quality data analysis, identification of risk drivers, execution and evidencing of SOX controls, interaction with stakeholder & management, and participation in the ongoing design and testing of IT & model enhancements.
To be successful as a AVP - Capital Analytics & Reporting, you should have experience with:
Key Accountabilities
Responsible for monthly impairment calculation and reporting processes, including, model execution, data analysis, and stakeholder management, in line with the SOX control environment.
Participation in strategic business and regulatory driven projects, including, implementation of new business and system processes, supporting the calculation of ad-hoc impairment impact assessments, and enhancing existing system functionality.
Responsible for the design, development and testing of data solutions, providing customer guidance when requirements need translating from business language and ensuring good practice.
Ensure the robustness of the control environment, documenting issues, and proposing resolutions.
Perform impairment impact analyses relating to model changes, economic scenario refresh, and counterparty specific parameter sensitivity.
Risk and Control
Person Specification
Basic/ Essential Qualifications:
Minimum high quality undergraduate degree - 2.1 or equivalent.
Working knowledge of the IFRS9 Accounting Standard, in particular, impairment modelling methodology used for Wholesale Credit Risk portfolios.
Strong understanding of the use of Wholesale Credit Risk parameters, such as, PD, LGD, EAD, in Capital and Impairment calculations.
Strong analytical and problem solving abilities.
Confidence to deal with stakeholders across all levels including the front office.
Clear and effective communication and presentation skills, both written and verbal.
Desirable skillsets/ good to have:
Working knowledge of data analysis tools such as Python/SQL/SAS/etc. used to interrogate data.
Previous experience of analysing impairment reporting data and credit factor movements.
Exposure to business analysis, investigating issues and documenting findings.
Post graduate degree or professional qualifications such as CFA/FRM looked at favourably.
You may be assessed on the key critical skills relevant for success in role, such as experience with IFRS-9, Impairment Reporting, Analytics & Reporting as well as job-specific skillsets.
This role will be based out of Noida.
Purpose of the role
To gather, analyse, and present risk data in a clear and concise manner to stakeholders across the organisation, facilitating informed decision-making, risk mitigation, and regulatory compliance.
Accountabilities
Assistant Vice President Expectations
All colleagues will be expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence and Stewardship – our moral compass, helping us do what we believe is right. They will also be expected to demonstrate the Barclays Mindset – to Empower, Challenge and Drive – the operating manual for how we behave.
Barclays
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