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Tier-1 bank, Bangalore metro, mid-level analytics role with regulatory breadth increases candidate competition.
Requires banking product-control, derivatives, and regulatory experience, limiting cross-industry transferability.
Explicit 5+ years, banking control experience, regulatory responsibilities, and mandatory analytics/tooling create strict filtering.
Lead and manage complex, cross-functional risk analytics initiatives impacting P&L production, reporting, balance sheet substantiation for trading and banking desks.
Own end-to-end control framework for financial products including derivatives, structured products, and securities; lead internal/external audits and regulatory reporting (e.g., Volcker, FRTB).
Partner with Front Office, Risk, and Operations on new product onboarding, risk-adjusted performance reviews, and implement control enhancements including automation and data governance improvements.
Minimum 5+ years of Risk Analytics experience (work experience, training, military experience, or education).
Experience working in Product Control or a closely related control function within a large bank (implied by desired qualifications but not strictly mandatory).
Advanced proficiency in MS Office (Excel, Access), SQL, Tableau, Alteryx, Power BI.
Work Experience Required: 5+ years in Risk Analytics or equivalent
Experienced in derivative products and risk measures with strong understanding of valuation control policies, accounting standards, and regulatory requirements.
Demonstrated leadership skills including mentoring junior analysts, managing teams, and driving strategic process improvements across functions.
Strong collaboration and communication skills to effectively partner across Front Office, Risk, Operations, and senior management