Risk Infrastructure is responsible for the overall governance and support of the firm's Financial Risk platform. This includes activities like Input Data Management and Control, Capital Assurance for Market Risk, Risk Limit Management and Risk Reporting. In addition they assist Risk Managers (RM) in resolving data issues where necessary and take corrective actions. RI also drives data management strategy for Risk and helps develop data architectures that are versatile and scalable to meet new regulatory requirements.
The team ensures relationships between range of reference data, Trade attributes, instrument and transaction data are not broken. Whilst input data is validated; reported data is reconciled.
Drives data management strategy for Risk and helps develop data architectures
Provide ad-hoc risk views and drill down analysis of less transparent risks and issues of
Importance to senior Risk Management/Trading Heads
The candidate must have a strong background in visual data delivery; interactive design and SQL with a passion for re imagine/ design.
Corporate Title
Associate
Functional title
Associate
Experience
4-6 yrs
Qualification
BE/B.Tech/ Masters/ MBA in Finance
IT Skills
SQL, Python, Alteryx
This is a business plus technical role. Roles and responsibilities are defined below
Job Title: Risk Data Management Control Sr Analyst/Associate
Key Responsibilities
- Data Management Quality
- Design and implement data quality frameworks and controls for Market risk data
- Monitor data quality metrics and create regular reports on data integrity
- Lead data quality issue resolution and manage escalation processes
- Develop and maintain data quality dashboards
- Partner with Market risk teams to understand data requirements
- Ensure compliance with regulatory data requirements like FRTB, Basel 2.5
📌 RSK-Credit Risk professional (Mumbai)
🏢 Nomura
📍 Mumbai
Reply to this offer
Impress this employer describing Your skills and abilities, fill out the form below and leave Your personal touch in the presentation letter.