





Tier-1 employer, Bengaluru location, and mid-level (4+) role increases candidate competition.
Role requires capital markets, valuations, and model governance experience so cross-industry transferability is low.
Explicit 4+ years, finance certifications, capital-markets experience, and required SQL/BI skills create moderate filter.
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Lead or contribute to moderately complex risk analytics initiatives, including data aggregation, forecasting, reporting, and model documentation aligned with policy governance.
Resolve data, production, and modeling issues while ensuring compliance with risk reporting policies and regulatory requirements.
Lead projects and teams, mentor junior staff, and collaborate cross-functionally to develop common modeling strategies and achieve analytic and reporting goals.
Bachelor's degree or MBA in Finance, Accounting, Statistics, Economics, or Business, or professional credentials such as CFA/FRM/CQF.
Minimum 4 years of experience in Risk Analytics or equivalent demonstrated through work experience, training, or education.
Experience in valuations, analytics, financial modeling, and knowledge of capital markets products, preferably asset-backed securities.
Proficiency in Microsoft Office, SQL, and strong verbal and written communication skills.
Experienced in trading, valuing, or price validating capital market instruments with knowledge of market risk and model governance.
Able to manage multiple priorities under challenging timelines and collaborate effectively across organizational levels.
Demonstrates strong conceptual and quantitative problem-solving skills and can communicate clearly with business partners and senior management.