Current jobs related to Risk Analyst - Bangalore - State Street

  • Risk Analyst

    16 hours ago


    bangalore, India NAM Info Inc Full time

    Role: Risk Data AnalystLocation: BangaloreEmployment Type: Full-time with Nam InfoWork Schedule: Monday to Friday (5 days a week)Job ResponsibilitiesBe subject matter expert in Consumer Banking risk management preferably in the Lending businessAssemble vast amounts (structured and unstructured)Manage data aggregation project for Treasury Deposit...

  • Risk Analyst

    16 hours ago


    bangalore, India NAM Info Inc Full time

    Role: Risk Data Analyst Location: Bangalore Employment Type: Full-time with Nam Info Work Schedule: Monday to Friday (5 days a week) Job Responsibilities Be subject matter expert in Consumer Banking risk management preferably in the Lending business Assemble vast amounts (structured and unstructured) Manage data aggregation project for Treasury Deposit...

  • Risk Analyst

    21 hours ago


    bangalore, India NAM Info Inc Full time

    Role: Risk Data AnalystLocation: BangaloreEmployment Type: Full-time with Nam InfoWork Schedule: Monday to Friday (5 days a week)Job ResponsibilitiesBe subject matter expert in Consumer Banking risk management preferably in the Lending businessAssemble vast amounts (structured and unstructured)Manage data aggregation project for Treasury Deposit...

  • Risk Analyst

    2 days ago


    Bangalore Urban, India NAM Info Inc Full time

    Role: Risk Data AnalystLocation: BangaloreEmployment Type: Full-time with Nam InfoWork Schedule: Monday to Friday (5 days a week)Job ResponsibilitiesBe subject matter expert in Consumer Banking risk management preferably in the Lending businessAssemble vast amounts (structured and unstructured)Manage data aggregation project for Treasury Deposit...

  • Risk Analyst

    1 day ago


    Bangalore Urban, India NAM Info Inc Full time

    Role: Risk Data Analyst Location: Bangalore Employment Type: Full-time with Nam Info Work Schedule: Monday to Friday (5 days a week) Job Responsibilities Be subject matter expert in Consumer Banking risk management preferably in the Lending business Assemble vast amounts (structured and unstructured) Manage data aggregation project for Treasury Deposit...

  • Credit risk analyst

    2 weeks ago


    Bangalore, India Fi Full time

    About Fi Money Who we are: Fi is a money management app that listens to your needs, understands your wants, and gently nudges you to achieve your financial goals. On the inside, we’re a deep-tech startup that’s building a highly innovative and secure financial hub for a digital-first generation. What we’re looking for: Data is central to...

  • Credit Risk Analyst

    3 weeks ago


    bangalore, India Fi Full time

    About Fi MoneyWho we are: Fi is a money management app that listens to your needs, understands your wants, and gently nudges you to achieve your financial goals. On the inside, we’re a deep-tech startup that’s building a highly innovative and secure financial hub for a digital-first generation.What we’re looking for: Data is central to decision-making...

  • Credit Risk Analyst

    2 weeks ago


    Bangalore, India Fi Full time

    About Fi Money Who we are: Fi is a money management app that listens to your needs, understands your wants, and gently nudges you to achieve your financial goals. On the inside, we’re a deep-tech startup that’s building a highly innovative and secure financial hub for a digital-first generation. What we’re looking for: Data is central to...

  • Credit Risk Analyst

    3 weeks ago


    bangalore, India Fi Full time

    About Fi Money Who we are: Fi is a money management app that listens to your needs, understands your wants, and gently nudges you to achieve your financial goals. On the inside, we’re a deep-tech startup that’s building a highly innovative and secure financial hub for a digital-first generation. What we’re looking for: Data is central to...

  • Credit Risk Analyst

    3 weeks ago


    bangalore, India Fi Full time

    About Fi MoneyWho we are: Fi is a money management app that listens to your needs, understands your wants, and gently nudges you to achieve your financial goals. On the inside, we’re a deep-tech startup that’s building a highly innovative and secure financial hub for a digital-first generation.What we’re looking for: Data is central to decision-making...

  • Credit Risk Analyst

    2 weeks ago


    bangalore, India Fi Full time

    About Fi Money Who we are: Fi is a money management app that listens to your needs, understands your wants, and gently nudges you to achieve your financial goals. On the inside, we’re a deep-tech startup that’s building a highly innovative and secure financial hub for a digital-first generation. What we’re looking for: Data is central to...

  • Credit Risk Analyst

    2 weeks ago


    Bangalore, India Fi Full time

    About Fi Money Who we are: Fi is a money management app that listens to your needs, understands your wants, and gently nudges you to achieve your financial goals. On the inside, we’re a deep-tech startup that’s building a highly innovative and secure financial hub for a digital-first generation. What we’re looking for: Data is central to...


  • Mumbai/Bangalore/Delhi, India Corpjob Placement Services Full time

    Cyber Security Risk AnalystAs a Cyber Security Risk Analyst at Corpjob Placement Services, you will be responsible for assisting the functional manager in performing day-to-day security activities/operations. This includes analyzing problem statements, collaborating to define solutions, and executing them in accordance with defined processes and frameworks....

  • Risk Analyst

    3 weeks ago


    bangalore, India Turno Full time

    Responsibilities:Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context.Implement & Monitor Credit Risk strategies across the lending life cycle-acquisition, underwriting, cross-sell & collections.Review portfolio on periodic basis across various risk metrics for early warning signals...

  • Risk analyst

    3 weeks ago


    Bangalore, India Turno Full time

    Responsibilities: Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context. Implement & Monitor Credit Risk strategies across the lending life cycle-acquisition, underwriting, cross-sell & collections. Review portfolio on periodic basis across various risk metrics for early...

  • Risk Analyst

    1 month ago


    bangalore, India Turno Full time

    Responsibilities: Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context. Implement & Monitor Credit Risk strategies across the lending life cycle-acquisition, underwriting, cross-sell & collections. Review portfolio on periodic basis across various risk metrics for early warning...

  • Risk Analyst

    1 month ago


    bangalore, India Turno Full time

    Responsibilities:Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context.Implement & Monitor Credit Risk strategies across the lending life cycle-acquisition, underwriting, cross-sell & collections.Review portfolio on periodic basis across various risk metrics for early warning signals...

  • Risk Analyst

    2 months ago


    bangalore, India Turno Full time

    Responsibilities:Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context.Implement & Monitor Credit Risk strategies across the lending life cycle-acquisition, underwriting, cross-sell & collections.Review portfolio on periodic basis across various risk metrics for early warning signals...

  • Risk Analyst

    1 month ago


    bangalore, India Turno Full time

    Responsibilities: Development, Implement and Review of Credit Risk Models & Associated Frameworks in an unsecured rural/semi-urban lending context. Implement & Monitor Credit Risk strategies across the lending life cycle-acquisition, underwriting, cross-sell & collections. Review portfolio on periodic basis across various risk metrics for early warning...


  • bangalore, India Evalueserve India Full time

    Elevate Your Impact Through Innovation and Learning Evalueserve is a global leader in delivering innovative and sustainable solutions to a diverse range of clients, including over 30% of Fortune 500 companies. With presence in more than 45 countries across five continents, we excel in leveraging state-of-the-art technology, artificial intelligence, and...

Risk Analyst

4 months ago


Bangalore, India State Street Full time

About the Employer: InfraHedge team provides managed account infrastructure for institutional investors to invest in hedge funds. Our services are based on independent governance, transparency, and rigorous risk management for hedge fund investments. We bring decades of experience in building efficient financial operations infrastructure and a deep understanding of how to mitigate operational risk for institutions investing in hedge funds. State Street Risk Analytics combines unique capabilities in data and analytics to better serve our clients and build relationships with new customers. Through information and insights, investment analytics and data solutions, our goal is to help our clients to generate the most value. State Street Risk Analyticsâ truView platform is a web-based application providing a full suite of analytics that give clients insight into the risks and performance of their investment portfolios. Supporting all asset classes, the platform produces analytics such as: stress testing, value at risk (VaR), position specific analytics for derivatives (delta, gamma, vega etc.) and fixed income characteristics such as duration and convexity Our core values are as follows and we expect all employees to demonstrate these in day to day work: Team work Openness Positive Attitude Customer delight Excellence Job Description:
⢠Responsible for day to day operations and service delivery of NAV and Investment risk reporting.
⢠Leads and manages the development of a team of 20 plus professionals across various hierarchy levels.
⢠Works closely with the management top down to ensure timely addressal of all issues
⢠Manage and lead multiple project and implementation activities that are designed to enhance workflow and reduce operational risks
⢠Has an open mindset who welcomes challenges and is equipped to arrive at solutions by the collective efforts of the team
⢠Has an in-depth understanding of NAV and Investment Risk concepts.
⢠Is able to challenge processes and build a culture of continuous development within the team
⢠Drive and participate various learning and cultural initiatives to embed the healthy working relationship and environment within the team.
Information Classification: General
⢠Has a deep understanding of the concepts of operational risks and the ability to apply them in day to day operations along with arriving at long term solutions to mitigate those risks
⢠Demonstrate effective risk management skills â continuous identification of risk areas, communication to management and key stakeholders and appropriate mitigation of all such open risks.
⢠Oversee and track training initiatives within the team.
⢠Establish and nurture a culture of âRisk Excellenceâ within the team, encourage and build an environment of openness that welcomes process related challenges and supports solution oriented mindsets.
⢠Demonstrate the highest level of Code of Conduct in selfâs behavior and of the team.
Skills/Experience Required ⢠10 + years of Financial services experience in Investment Risk/Hedge Fund accounting/ investment operations of an Investment Bank. ⢠Good understanding of all financial instruments including complex OTC products. ⢠Understands Hedge Fund Strategies and hedge fund investing or hedge fund accounting methodologies. ⢠Understanding of Hedge Fund NAV processes, fund structures and fee computations. ⢠Ability to work in a team under tight deadlines. ⢠Good communication and interpersonal skills. ⢠Strong understanding of financial markets and risk management techniques. ⢠Bloomberg and/or Reuters knowledge. ⢠Result-oriented approach and problem solving skills essential. .