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Tier-1 brand, metro location, and senior visible risk reporting role create moderate candidate competition.
Requires deep credit/market/liquidity risk and regulatory reporting experience, limiting transferability across industries.
Explicit 9+ years, mandatory risk domain expertise, BI tooling, and regulatory reporting raise shortlisting strictness.
Own end-to-end delivery of credit and interest rate risk reporting, ensuring accuracy and timely delivery to senior decision-makers.
Design and maintain data visualizations and dashboards (e.g., Tableau) to communicate complex risk data effectively.
Lead cross-functional initiatives to improve reporting processes, data controls, and governance frameworks impacting risk data accuracy and automation.
9+ years of experience in finance and/or risk data analytics managing complex risk reporting across credit, market, or liquidity risk domains.
Degree-level qualification in a quantitative discipline (engineering, finance, economics, science) or equivalent postgraduate qualification (MBA Finance, CA).
Proficiency in Tableau, Power BI, or similar visualization tools; advanced Excel and VBA skills for complex data modeling and reporting.
Work Experience Required: Minimum 9 years in relevant finance or risk analytics roles.
Experienced in managing high-stakes risk reporting with exposure to senior management and regulatory stakeholders.
Skilled in analytical interpretation of large datasets and presenting strategic risk insights effectively to senior audiences.
Capable of leading and coordinating multidisciplinary teams and initiatives to enhance risk data governance and reporting automation.