Role : Risk Management Reporter
- Work experience in a financial institution with good product knowledge and good understanding of Risk management tools and techniques
- Good understanding of CCAR functions and processes - an up to date knowledge with the latest CCAR guidelines, various reporting requirement and it relationship with Credit Risk Stress testing framework of financial institution
- Experience in Risk is preferred - CCAR, DFAST, Market Risk, Credit Risk are all highly desirable areas of expertise
- Strong analytical and quantitative skills, attention to detail, willingness to "roll up sleeves" and produce a polished, high quality, accurate product; tireless work ethic with ability to work well under pressure
- Organizational savviness with ability to expand internal network across functions and various levels of seniority
- Good knowledge of financial products across various asset classes
- Sound understanding of life cycle of a trade and risk management concepts
- Ability to work with large volumes of data using spread sheet and Database Query tools (MS Excel and Access)
- Knowledge of Impact of sensitivities change on derivatives portfolio valuation
- Experience of working with the output of finance and risk systems
- Driven and strong personality able to move forward both existing processes as well as the related projects in parallel to each other
- Communication skills at all levels including ability to interact successfully with stakeholders outside team
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