Role Overview:
- The person will be part of the model risk management team for a major Insurance client. He/ She will work with different stakeholders to identify, communicate and measure risk associated with different model within the organization.
- The person will be responsible for development and implementation of risk management and compliance policies/ procedures.
- A typical work day will involve interviewing different model owners/ user, understanding the model process flow and components, documenting current model and data flows and maintaining an inventory of various models and their dependents.
- The person will also be required to participate actively in brainstorming sessions for improvement risk management and compliance environment of the organization.
- A suitable candidate should have 3-6 years of experience in a similar role and should possess a go -getter attitude. He/ She should be able to deal with ambiguity.
- Experience in life insurance preferred but not mandatory.
Key Responsibilities & Skillsets:
Common Skillsets:
- Superior finance, analytical and problem solving skills
- Should be able to work on a problem independently and prepare client ready deliverable with minimal or no supervision
- Good communication skill for client interaction
Model Risk Management Skillsets:
- Background in Finance, Mathematics or related fields of study
- Good understanding of the latest model risk guidelines such as SR11-7, TRIM, CCAR
- Good knowledge of Advanced Excel, VBA and some knowledge of statistical packages and languages ( e.g., R, Python, SQL)
- Have worked on projects involving model documentation, validation/ testing, model monitoring and reporting
- Professional certification CFA, FRM, etc. will be an added advantage
Data Management Skillsets:
- Ability to understand data models and exposure to ETL tools is preferred
- Should have strong grasp of advanced SQL functionalities (joins, nested query, and procedures).
- Strong ability to understand functional specifications / technical requirements
Candidate Profile:
- Bachelors/Master's degree in finance, mathematics, or related analytics areas
- 5-7 years- experience preferably in Life Insurance but not mandatory
- Strong and in-depth understanding of finance
- Model risk management experience
- Superior analytical and problem solving skills
- Outstanding written and verbal communication skills
- Able to work in fast pace continuously evolving environment and ready to take up uphill challenges
- Is able to understand cross cultural differences and can work with clients across the globe
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