
Quantitative Analyst Position
12 hours ago
Job Overview:
The Actuarial Intern role involves collaborating with engagement teams to deliver functionalities related to asset liability management, interest rate risk in banking book, behavioral modelling, Pillar 1 risks (Market Risk, Credit Risk, Operational Risk), Pillar 2 Risks (ICAAP), fund transfer pricing and profitability analysis on our proprietary application suite for Balance Sheet Management.
Key Responsibilities:
- Work closely with cross-functional teams to develop python and excel models on risk analysis to validate models and assist with client user acceptance testing.
- Develop end-to-end functionalities for modelling macro-economic factors and market prices like Interest rate, Credit Spread, FX, Commodities and Volatility.
- Validate cashflow, valuation and sensitivity models using excel / python for banking and derivative products.
- Develop project execution and product collaterals.
- Ensure adherence to development standards and protocols mandated by the product organization.
Requirements:
- Demonstrate knowledge of Banking risks and quantification.
- Demonstrate knowledge of Basel accordson Banking risk management.
- Demonstrate proficiency in financial instrument valuation and risk assessment.
- Demonstrate proficiency in statistical, econometrics and time series analysis.
- Demonstrate proficiency in use of back-end server-side languages like Python and database like MSSQL and PostgreSQL.
Preferred Qualifications:
- Number of years of experience expected: 0-2 years.
- Areas of past experience preferred: Quantitative modelling, Risk Management.
- Educational qualification expected: Graduate/ Pursuing graduation.
- Additional qualifications/ certifications required: None.
- Minimum actuarial papers: Actuary certifications / degrees.
- Language requirements: Ability to write and speak fluently in English.
- Application experience preferable: Python, Advanced excel, PowerPoint.
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