





Tier-1 bank brand, Bangalore location, and mid-level profile increase applicant competition despite specialized skills.
Role requires deep banking product control and regulatory experience, limiting cross-industry transferability.
Mandates 5+ years risk analytics, product control experience and finance certifications, enforcing strict domain and skill filters.
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Lead complex, cross-functional initiatives related to risk analytics, daily P&L production, attribution, reporting, and balance sheet substantiation for trading and banking desks.
Own the end-to-end control framework for financial products including derivatives, structured products, and securities, supporting new product onboarding and complex transaction analysis.
Lead audit engagements and regulatory reporting, identify control and process improvements, mentor junior analysts, and drive enterprise-wide initiatives.
5+ years of Risk Analytics experience or equivalent via work experience, education, training, or military experience.
Experience in product control or a closely related control function at a large bank, including understanding of valuation control policies, accounting standards, and regulatory requirements.
Advanced proficiency in MS Office (Excel, Access), SQL, Tableau, Alteryx, and Power BI.
Work Experience Required: Minimum 5 years in Risk Analytics or related domain.
Strong knowledge of derivative products and risk measures with experience supporting trading businesses and financial product controls.
Demonstrated ability to collaborate across front office, risk, and operations teams and communicate complex analysis and outcomes clearly.
Experience leading teams and projects in a high-impact, regulated financial environment with skills in strategic process improvement and change management.