Job description


Masters in any quantitative discipline :-
Engineering (or B-tech with relevance experience)
MS / MBA in Finance


Around 5+ years of relevant professional experience in risk analytics in financial domain,
Experience in governance and internal control would be preferred,
Prior experience in Risk Identification, Compliance, Control Testing, Change Management and Reporting,
Understanding of regulatory implications and relevance of regulatory approved framework,
Experience in MS Excel to work with large data set is mandatory,
Experience in working in COGNOS, Tableau and Sharepoint Development would be preferred,
Experience in delivering trainings will be preferred,
Experience is handling medium to long term projects is mandatory.


Willing to work with colleagues in other business/functional areas in different time zones,
Highly focused on project delivery, attention to detail,
Excellent written and verbal communication skills,
Excellent summarization and presentation skills,
Ability to deal in a multi-stakeholder relationship in a complex environment,
Strong analytical and problem solving skills, open minded, flexible, pragmatic,
Strong skills in handling large volume of data in MS Excel,
Able to progress multiple tasks at the same time.
Able to work independently, with minimal supervision
Enthusiastic, displaying energy, drive and stamina

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