Manager/Lead Manager/AVP - Risk Analytics - (Candidates with Career Gap are welcome to apply)
- Experience in SAS/Python/R
- Experience of working with Data Visualizations Tools
- Basel Modeling, PD, LGD Model Development or Advance Analytical knowledge
- Risk Management or Retail Risk exp.
- Collate, test and check independently sourced economics data (forecast and stress) and assess its robustness and fitness for purpose of model development.
- Coordinate and identify historical data points for developing models
- Coordinate and compile stress test model results and develop analysis to communicate with wider
- Ensure adequate documentation and analysis in place for model review committee which involves peer review and independent review committees
- Prepare effective material for dissemination to key business stakeholders at all levels of seniority.
- Support ad-hoc requests in support of the business as necessary
- Ensure timelines around project deliverables are met and all the stake holders are informed about the status of the projects
- Work collaborative with STO management team to prioritize projects
- Drive standardization of analysis and processes to gain efficiency.
- Develop effective relationship management with diverse functions and businesses
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