a Vacancy For MBA + CFA/FRM As Risk Reporting Analyst In RBS,Gurgaon

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Vacancy For MBA + CFA/FRM As Risk Reporting Analyst In RBS,Gurgaon

Company: RBS
Website: www.rbs.com
Location: Gurgaon

Required Skills: MBA + CFA/FRM , Risk Reporting Analyst
Required Exp: 3 to 5 years
Address: Gurgaon
Category: MBA Jobs


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Risk Reporting Analyst

Gurugram, India

Reference: R-00107810

Brand: RBS

Category: Control, Oversight & Assurance

Contract: Full Time

Posted: 27/05/20

Closes: 31/05/20

Risk Reporting Analyst

Gurugram, India

Reference: R-00107810

Brand: RBS

Category: Control, Oversight & Assurance

Contract: Full Time

Posted: 27/05/20

Closes: 31/05/20

Join us as a Risk Reporting Analyst

 

  • In this role, you’ll own the delivery of high-quality MR reports and take care of our credit risk reporting, including submissions to the board within agreed timelines
  • We’ll look to you to make sure that team members engage effectively with global teams to deliver significant improvement to the analysis and related commentary or information shown
  • This is a fantastic opportunity to improve your skills as a professional since you’ll be leading a team of managers on various projects and helping us drive the growth of the bank

 

What You'll Do

 

As a Risk Reporting Analyst, you’ll be changing the way we manage our credit risk by providing us business insights through the creation, review, and analysis of various reports. You’ll develop and enhance for efficiency and make sure that all reports are delivered to a very high standard.

 

Day-to-day, you’ll be:

 

  • Creating and maintaining documentation for processes and managing complex ad hoc queries
  • Training analysts on various reports and making sure that they are engaging effectively with credit teams
  • Raising and driving issues related to deadlines, data quality and strategic system limitations efficiently and independently
  • Coordinating with various teams such as MR IT, MR, Risk Assurance, other RIS teams
  • Making sure that timelines and expectations are regularly communicated to report recipients

 

The Skills You'll Need

 

To truly excel in this role, we’ll need you to have a graduate or post graduate degree in finance, engineering or science or masters in quantitative disciplines such as economics, maths, statistics or an MBA from a reputed institute.

 

Additionally, you'll also need significant experience within a global markets or investment banking environment along with a CFA or an FRM certification. We’ll need you to preferably have a background of credit risk operations in an investment bank with 3-5 years’ working experience in advanced SAS.

 

You’ll also demonstrate:

 

  • A strong understanding of the global markets and banking operations, market dynamics, products and the associated risks
  • Extensive knowledge of key functions performed by other support areas like finance or other risk verticals
  • An understanding and track record of trading and banking books product set, including equities, derivatives, treasury, fixed income and funds
  • The ability to undertake small data projects and manage regular UAT and sign-off processes
  • Portfolio analysis or regulatory risk reporting experience, which will be an advantage
  • Good communication skills for liaising with the concerned stakeholders including Fund Houses and overseas credit teams


Date Posted:29-May-2020
Posted By: Abhinash kumar jha
Views 102

Source: https://india.jobs.rbs.com/

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