Unsecured Capital Model Risk VP

8 - 12 years

0 Lacs

Posted:3 weeks ago| Platform: Shine logo

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Work Mode

On-site

Job Type

Full Time

Job Description

As a Unsecured Capital Model Risk-Vice President at Barclays, you will embark on a transformative journey by spearheading the evolution of the Model Risk landscape. Your role will involve working closely with experts such as Model developers and Tech consultants to drive innovation and excellence. By connecting the dots with Regulatory requirements and Portfolio strategy, you will brainstorm within the team to make sustainable decisions that can withstand challenges from IVU, Audit, and Regulators. Your responsibilities will include understanding customer credit behavioral trends, optimizing portfolio risk and return, designing credit policies and underwriting strategies analytically, and setting credit parameters for various programs impacting customers across different products within the UK market. To succeed in this role, you should possess excellent communication skills, sound people management skills, and the ability to work independently in a dynamic and fast-paced environment. You should also have expertise in Advanced Statistical model development or validation, Regulation (Basel, IFRS9), SAS/Python, Ms-office tools, and providing oversight to strategic initiatives and large-scale changes in data or platform. Additionally, highly valued skills may include a strong academic background in a numerical discipline, excellent quantitative and analytical skills, and an understanding of Basel 3.1, IFRS9, and BCBS regulations. Your performance will be assessed based on key critical skills relevant for success in the role, such as risk and controls, change and transformation, business acumen, strategic thinking, digital and technology skills, and job-specific technical skills. This position will be based out of Noida. The purpose of this role is to manage and optimize the bank's overall credit risk exposure by monitoring, analyzing, and reporting on the creditworthiness of its lending portfolio. Your accountabilities will include monitoring the financial performance and risk profile of the lending portfolio, analyzing credit trends, developing quantitative models and risk forecasting tools, conducting portfolio stress testing exercises, and defining portfolio, segment, and customer risk appetite, policy, and limits. As a Vice President, you are expected to contribute or set strategy, drive requirements, make recommendations for change, plan resources, budgets, and policies, manage and maintain policies/processes, deliver continuous improvements, and escalate breaches of policies/procedures. If the position involves leadership responsibilities, you are expected to demonstrate clear leadership behaviors to create an environment for colleagues to thrive and deliver to a consistently excellent standard. Overall, you are expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence, and Stewardship, along with the Barclays Mindset to Empower, Challenge, and Drive.,

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Barclays logo
Barclays

Financial Services

London

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