int(8864)
Mumbai, India

Lead Role in Credit Risk Change Management

Our client is one of the leading consulting firms which provides industry focused services for clients across geographies. We are currently looking for a skilled professional to join their Risk Change Team in Mumbai.

Please contact Jagruti Chanchlani or email your cv directly in word format with job reference no. JO0000007265 to riskandquants-in@theedgepartnership.com.

Please note that due to the high number of applications only shortlisted candidates will be contacted. If you do not hear from us in the next 5 business days we regret to inform you that your application for this position was unsuccessful.

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Key responsibilities

  • The person is expected to play a lead role for the Credit Risk Change projects in CMT and work with local and regional stakeholders to manage the book of work to be delivered by CMT.
  • Be able to research, prioritize, and follow up on incoming issues and concerns addressed to/by the Head of Division and CAO, including those of a sensitive or confidential nature.
  • Working as a business analyst and project manager in Credit Risk Change projects in CMT and work with local and regional stakeholders to deliver on the project book of work.
  • Independently manage medium to large projects through the lifecycle and prepare business analysis documents proficiently (business requirement documents, functional specifications, data matrix, workflow diagrams etc.)
  • Ability to plan the project delivery milestones (L0/L1 planning) and prepare project reports (weekly project update, monthly status update, highlighting risks, issues, and their mitigation steps)
  • Assist stakeholder businesses with their tactical/strategic solution requirements, services and/or program.

Role requirements

  • Business Analyst with 5 to 12 years of relevant experience in the Risk domain, particularly Counterparty Credit Risk.
  • Good knowledge of the Counterparty Credit Risk domain with project experience in areas like computation of risk measures/exposures (PD, LGD, EAD, PE, PFE, EEPE, VaR, RWA etc.), management of risk limits, risk reporting etc.
  • Strong understanding of capital market products and derivatives across asset classes
  • Proficiency in database, virtualization, and BI solutions – SQL, Python, Dremio, PowerBI, Alteryx, Tableau etc.
  • Strong organizational skills that reflect ability to perform and prioritize multiple tasks seamlessly with excellent attention to detail.
  • Highly resourceful team-player, with the ability to also be extremely effective independently.
  • Has an experience of managing the team.
  • Has some understanding of change management role.