





Tier-1 brand and 5+ mid-level experience increase competition despite niche risk analytics specialization.
Role requires finance-specific risk analytics and regulatory experience, limiting cross-industry transferability.
Explicit 5+ years and mandatory risk analytics domain experience enforce strict candidate filters.
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Lead complex business analysis and modeling initiatives with broad cross-functional impact in Risk Analytics, including stress testing and portfolio analysis.
Review and analyze complex programming models to extract data and provide statistical and financial modeling tailored to business needs.
Manage pilot program rollouts, make strategic decisions on product risk exposure, collaborate with various managerial levels to resolve operational and regulatory issues, and lead teams and mentoring efforts.
Minimum 5+ years of Risk Analytics experience or equivalent demonstrated through work, training, military experience, or education.
Experience with business analysis and data modeling in risk contexts.
Not explicitly mentioned: mandatory degree, location, or notice period.
Desired skills include SQL, Python, and basic capital markets understanding (though these are not mandatory).
Experienced in leading complex risk analytics projects with cross-functional teams and regulatory considerations.
Skilled in data aggregation, monitoring, statistical and financial modeling related to risk exposure and compliance.
Proven ability to manage pilot programs, mentor team members, and make sound risk decisions aligned with business unit projects and policies.