The primary responsibility of this role is delivery of CIB credit risk reporting and MI, working directly with and supporting the group CIB credit risk team, which rolls up to into the Global Head of Reporting, Risk & CFCR. The risk reports are used by risk managers, Group Risk Framework Owners, committees and senior management, Regulators, and other internal stakeholders.
The team involved in every stage of a reporting process:-
Requirement gathering, collaboration with group and country teams to identify metrics for reporting.
Evaluate Data Availability & proactively manage data quality requirements.
Tactical solutions to bridge the gap while implementing strategic solutions.
From testing till Go live
Partner with Data Strategy /Technology for strategic sourcing & self- service models
Insights & Commentaries
Enhancements to the reports
Risk Identification and Controls review for the process.
BCBS239 requirements
Worked with Multinational Banks
Credit Risk Management and Underwriting experience.
Managed specific Industry profiles like Oil & Gas, Shipping, Commodities, etc
Hands-on skills - PYTHON
Awareness of trading environment, market moves & potential impact on exposures.
Excellent communication skills - verbal and written.
Be able to work in a global team.
Project management experience and documentation skills
Be able to implement strategic ideas and enhance productivity and efficiency levels
Significant Experience in major regulatory programs in the Risk/Finance, Banking industry - BCBS, IMM, CVA etc
Postgraduates / Professional qualification with 12+yrs experience in Risk domain
Risk Certifications from established institutions is recommended
Any technical Certification in MS Office Advanced tools / Python/ Tableau will be preferred
The primary responsibility of this role is delivery of CIB credit risk reporting and MI, working directly with and supporting the group CIB credit risk team, which rolls up to into the Global Head of Reporting, Risk & CFCR. The risk reports are used by risk managers, Group Risk Framework Owners, committees and senior management, Regulators, and other internal stakeholders.
The team involved in every stage of a reporting process:-
Requirement gathering, collaboration with group and country teams to identify metrics for reporting.
Evaluate Data Availability & proactively manage data quality requirements.
Tactical solutions to bridge the gap while implementing strategic solutions.
From testing till Go live
Partner with Data Strategy /Technology for strategic sourcing & self- service models
Insights & Commentaries
Enhancements to the reports
Risk Identification and Controls review for the process.
BCBS239 requirements
Worked with Multinational Banks
Credit Risk Management and Underwriting experience.
Managed specific Industry profiles like Oil & Gas, Shipping, Commodities, etc
Hands-on skills - PYTHON
Awareness of trading environment, market moves & potential impact on exposures.
Excellent communication skills - verbal and written.
Be able to work in a global team.
Project management experience and documentation skills
Be able to implement strategic ideas and enhance productivity and efficiency levels
Significant Experience in major regulatory programs in the Risk/Finance, Banking industry - BCBS, IMM, CVA etc
Postgraduates / Professional qualification with 12+yrs experience in Risk domain
Risk Certifications from established institutions is recommended
Any technical Certification in MS Office Advanced tools / Python/ Tableau will be preferred