Analyst, Risk Analysis

Analyst, Risk Analysis

  • Anywhere

Company Name:-
Intercontinental Exchange

Job Location:-
Hyderabad, Telangana

Job Summary:-
Description
The Risk Analyst will join the Model Risk Management (MRM) team at the Hyderabad office as part of the global Enterprise Risk Management function that delivers and supports company-wide model validation and risk governance.

The primary role of this position will be to provide risk analysis, model validation, and communication of testing results, while translating complex methodologies into transparent concepts for consumption within the MRM group.

Responsibilities
Work with the MRM group to validate and support risk models, methodologies, and reporting of risks throughout the organization
Help design and generate insightful, repeatable, automated reports for clearing risk analytics and model testing
Provide detailed analysis and documentation of methods, techniques, and findings
Coordinate with domain experts to develop and refine risk best practices, policies, and procedures
Produce and analyze risk reports, along with improvements and automation to these reports as required
Requirements
Advanced knowledge of Python and R
Working knowledge of SQL and working with databases.

Ability to work with large datasets
Knowledge of risk management concepts and their applications.

Understanding of mathematical and statistical concepts as they pertain to applied risk management
Understanding of financial markets and derivative securities
Strong analytical and organizational skills with acute attention to detail and the ability to synthesize complex analytics into key points for recommendations to management
Strong presentation, communication and business writing skills
Ability to work under time pressure, formulate and articulate solutions, and defend assumptions
Ability to solve real world business problems using analytical techniques
Creative, innovative, and customer focused attitude
Ability to communicate technical ideas and abstract concepts to colleagues
Bachelor’s Degree in Engineering, Finance, Applied Math, Economics, Computer Science, or similar
Masters of Science in a quantitative field preferred
2 years or more experience in an applied quantitative field preferred, including finance, risk management, trading, clearing, financial regulations, or asset management

FOR MORE DETAILS CLICK BELOW LINK [convertful id=”110657″]

Click Here For More Details

You may also like...

Leave a Reply

Your email address will not be published. Required fields are marked *

fourteen − 6 =

Ads Blocker Image Powered by Code Help Pro

Quality articles need supporters. Will you be one?

You currently have an Ad Blocker on.

Please support FINNSTATS.COM by disabling these ads blocker.

Powered By
100% Free SEO Tools - Tool Kits PRO