





Tier-1 brand, metro location, mid-level generalist title and common experience level drive high competition.
Requires banking credit/market risk experience and custody knowledge, limiting cross-industry transferability.
Explicit 4+ years and mandatory bank risk experience create moderately strict shortlisting.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Analyze and independently assess specific financial risks (e.g., credit risk) including monitoring client exposures and key risk metrics.
Manage credit risk by reviewing counterparty credit exposures, investigating limit breaches, and maintaining limit frameworks with approval authority.
Support development and review of risk methodologies, contribute to real-time risk monitoring systems, and prepare risk MIS and reports for decision-making.
Preferably 4+ years experience in credit or market risk management in banking, ideally transaction banking.
Degree level education or equivalent professional qualification; MBA Finance or CA preferred.
Basic understanding of custody products/markets preferred; proficiency in advanced Excel, Word, and PowerPoint.
Experience with AI tools to enhance productivity and ensure ethical use of data; work experience explicitly mentioned, all other requirements as stated.
Experienced in credit risk management within transaction banking or securities services domain with exposure to real-time risk monitoring and stress testing.
Capable of handling data-driven risk oversight with strong analytical skills and attention to detail to identify discrepancies.
Comfortable working closely with developers and multiple stakeholders to enhance risk management systems and workflows.