





Tier-1 employer and Pune metro increase applicant density despite niche counterparty risk specialization.
Deep derivatives, Basel, and counterparty credit risk expertise makes skills highly industry-specific.
Explicit 7+ years requirement and deep counterparty credit risk and regulatory expertise mandate strict filtering.
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Own end-to-end project management of complex Counterparty Credit Risk technology projects involving multiple stakeholders across Risk, Front Office, Finance, and Regulators.
Gather, document, and manage detailed business requirements around Counterparty Risk calculations and processing to support technology implementation and regulatory discussions.
Lead facilitation of cross-team project meetings, develop/review test scripts, analyze derivative exposure metrics, and produce analytical prototypes for risk calculation demonstrations.
Minimum 7 years of experience in Business Analysis and Project Management within Capital Markets domain.
Strong knowledge of derivatives lifecycle (Options, Futures, Forwards, Swaps) and Counterparty Credit Risk metrics (Potential Future Exposure, Margin, Collateral Haircut, Liquidity, Period of Risk).
Bachelor's degree in STEM or Finance disciplines; Master's degree and FRM/CFA or financial mathematics certification is an advantage.
Experience with project coordination across global/remote teams and advanced Excel/data analysis skills.
Experienced in managing cross-functional projects involving Risk, Technology, Finance, and regulatory stakeholders globally.
Deep domain expertise in Counterparty Credit Risk analytics and regulatory frameworks such as Basel III/IV.
Capable of translating complex risk calculations into clear documentation and prototypes to align technical teams and business users.