





Tier-1 bank, mid-level role in metro with visible posting increases candidate density.
Specialized trading desk valuation and regulatory control experience limits cross-industry transferability.
Mandatory 4+ years risk analytics plus valuation and regulatory control requirements enforce strict shortlisting.
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Lead and contribute to moderately complex risk analytics initiatives including data aggregation, forecasting, reporting, and model documentation aligned with policy governance.
Manage processes related to daily P&L production, trade data analysis, valuation issue resolution, and balance sheet substantiation for Credit trading desks.
Collaborate across Finance, Risk, and Front Office teams to resolve issues, enhance control frameworks, support regulatory reporting, and lead or mentor project teams.
4+ years of Risk Analytics experience or equivalent (work experience, training, military experience, education).
Experience with risk reporting policies, modeling strategies, regulatory requests, and compliance requirements.
Proven skills in data reconciliation, model documentation, and process production in risk analytics context.
Notice period: Not explicitly mentioned in the JD.
Experienced in moderately complex risk analytics projects involving P&L production and valuation for Credit trading desks.
Skilled at cross-functional collaboration with Finance, Risk, and Front Office to implement control improvements and regulatory reporting processes.
Capable of independently resolving valuation and reconciliation issues and mentoring junior staff within a risk and compliance-driven environment.