





Tier-1 bank, mid-level (5+ yrs), metro location increases applicant competition.
Highly finance-specific product control and trading desk experience limits industry transferability.
Required 5+ years in risk analytics, regulatory control experience and banking compliance increases shortlisting rigor.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Lead complex, cross-functional initiatives involving business analysis, financial modeling, and risk analytics for stress testing and portfolio analysis.
Own end-to-end control frameworks for financial products including derivatives and structured products, and lead projects addressing product strategies, regulatory compliance, and internal/external audits.
Partner with Front Office, Risk, and Operations to support product onboarding, risk reviews, control enhancements, and mentor junior analysts within product control function.
5+ years of Risk Analytics experience or equivalent through work experience, training, military or education.
Experience in managing financial products control, including derivatives and structured products.
Ability to lead projects and teams in complex product strategy and regulatory compliance environments.
Advanced proficiency in MS Office, SQL, Tableau, Alteryx, Power BI.
Background or certification in finance/accounting fields such as CA, CFA, or FRM with strong analytics and reporting experience.
Deep understanding of derivative products and risk measures in large banking/trading environments.
Proven leadership in strategic process improvement, stakeholder engagement, and driving cross-functional initiatives under regulatory frameworks.