





Tier-1 employer and Mumbai location increase candidate density moderately.
Specialized climate risk and regulatory ERM knowledge limits cross-industry transferability.
Explicit 1–3 years requirement plus mandatory Python and risk domain experience raises filter strictness.
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Own the development and execution of the climate risk management framework, ensuring alignment with regulatory requirements and coordination with subject matter experts across Risk.
Manage climate risk metric production using Python scripts; analyze portfolio Financed Emissions and Net Zero metrics to identify risk drivers and trends, producing actionable reports for senior management.
Enhance ERM portfolio frameworks by developing methodologies for risk appetite setting, supporting process optimization, controls strengthening, and undertaking change initiatives like system upgrades.
1-3 years of experience in risk disciplines (credit, market, operational) and/or banking products/processes.
Proficiency in Python is mandatory; knowledge of Tableau is a plus.
Good understanding of climate risk implications or related professional experience preferred.
Location requirement: Mumbai, India.
Analytical and process-driven professional with hands-on experience in climate risk reporting and framework development within financial institutions.
Capable of working independently to improve analytics, scalability, and system/application coverage while engaging cross-functionally with senior management.
Strong communicator able to present complex information clearly and manage change projects effectively in a risk management environment.