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Tier-1 bank, metro location, and mid-level role increase applicant competition despite niche risk specialization.
Role requires domain-specific risk and regulatory modeling, reducing cross-industry transferability.
Explicit 5+ years requirement and niche risk/regulatory modeling make filtering stringent.
Lead complex business analysis and modeling initiatives with cross-functional impact in Risk Analytics related to stress testing and portfolio analysis.
Review and analyze programming models for statistical and financial modeling specific to supported businesses; manage pilot program rollouts.
Make decisions on product strategies, data modeling, and risk exposure aligned with regulatory and compliance requirements; lead and mentor teams to meet analytic and reporting deliverables.
5+ years of Risk Analytics experience or equivalent demonstrated via work experience, training, military experience, or education.
Experience must include familiarity with business unit projects, regulatory responses, policies, and compliance in a risk analytics context.
Work Experience Required: 5+ years in Risk Analytics or equivalent.
Notice Period: Not explicitly mentioned in the JD.
Experienced in leading complex, cross-functional risk analytics projects involving data modeling and regulatory compliance.
Capable of making strategic risk exposure decisions and managing pilot implementations reflecting strong business and regulatory understanding.
Demonstrates ability to mentor analytics teams and resolve regulatory and production issues in a large, compliance-driven financial environment.