Quantitative Risk Analyst Jobs In India - 478 Job Positions Available

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TIAA jobs

Quantitative Risk Management Officer - Model Risk Management Undertake reviews and analysis across the portfolio for Market Risk. Undertake development or validation on classic quantitative models (investment risk, VaR, product pricing, etc) Key Responsibilities and Duties Market Risk Model Management Model Development and

TIAA  24 days ago
Goldman Sachs jobs

What we do : Counterparty Risk Counterparty Risk serves as a centralized 1st Line of Defense to manage the division’s risk to its clients arising from our trading relationships. We mitigate risk, design, advise on and launch a breadth of

Goldman Sachs  28 days ago
Deutsche Bank jobs

Job Description: Job Title: Quantitative Strategist Senior Analyst, AS Location: Mumbai, India Corporate Title: AS Role Description Group Strategic Analytics (GSA) is part of Group Chief Operation Office (COO) which acts as the bridge between the Bank’s businesses

Deutsche Bank  29 days ago
Swiss Re jobs

About the role: As a Valuation Risk Analyst within the Financial Model and Valuation Risk Management (FM&VRM) function, you will be a key player in ensuring that Swiss Res asset valuations are accurate, compliant, and reflective of real market

Swiss Re  24 days ago
AlphaSense India jobs

About AlphaSense: The world’s most sophisticated companies rely on AlphaSense to remove uncertainty from decision-making. With market intelligence and search built on proven AI, AlphaSense delivers insights that matter from content you can trust. Our universe

AlphaSense India  20 days ago
AlphaSense jobs

About AlphaSense: The world’s most sophisticated companies rely on AlphaSense to remove uncertainty from decision-making. With market intelligence and search built on proven AI, AlphaSense delivers insights that matter from content you can trust. Our universe

AlphaSense  20 days ago
Swiss Re jobs

Join us in a pivotal role that sits at the intersection of risk management, regulatory compliance,and strategic decision-making. As our Risk Reporting and Governance Analyst, youll helptranslate complex solvency data into actionable insights that inform our organizations mostcritical business

Swiss Re  19 days ago
Citi jobs

Role Summary This is a senior individual contributor role within the first-line-of-defense (1LoD) that plays a lead operational role in executing and maintaining the business lines compliance with the enterprise-wide Model Risk Management (MRM) Policy. This role

Citi  18 days ago
Citi jobs

The Credit Portfolio Intermediate Analyst is an intermediate-level position responsible for conducting credit reviews, credit approval and monitoring the portfolio to identify credit migration in coordination with the Risk Management team. The overall objective of this role is

Citi  16 days ago
American Express jobs

Amex Offers Marketing Operations (AOMO), part of Amex Offers Digital Media (AODM) is a global organization that sits within MEMBERSHIP PORTFOLIO SERVICES (MPS) within the US Consumer Services Business. MPS is responsible for developing and scaling

American Express  14 days ago
American Express jobs

Overview of The Department Commercial Rating and Underwriting (CRU) sits within the Credit and Fraud Risk (CFR) division and forms the institutional credit risk management function within American Express. The CRU team plays the critical role of assessing

American Express  14 days ago
Fiserv jobs

Calling all innovators – find your future at Fiserv. We’re Fiserv, a global leader in Fintech and payments, and we move money and information in a way that moves the world. We connect financial institutions, corporations,

Fiserv  12 days ago
Fiserv jobs

Calling all innovators – find your future at Fiserv. We’re Fiserv, a global leader in Fintech and payments, and we move money and information in a way that moves the world. We connect financial institutions, corporations,

Fiserv  12 days ago
Fiserv jobs

Calling all innovators – find your future at Fiserv. We’re Fiserv, a global leader in Fintech and payments, and we move money and information in a way that moves the world. We connect financial institutions, corporations,

Fiserv  12 days ago
Citi jobs

The Position within Global Consumer Risk Management of Citi for CCAR/DFAST/CECL/Climate risk and other stress testing regulations for stress loss model development for the secured portfolios. Core Responsibilities: This position within Global Consumer Banking will develop CCAR/DFAST/Climate risk stress

Citi  5 days ago
Virtusa jobs

Market Risk Analyst - (CREQ265594) Description Bank equivalent title Market Risk Analyst / Market Risk Sr. Analyst Years of experience 2-5 years Core Responsibilities – On monitoring and reporting Review the data and reports related to the following - Tracking risk metrics like

Virtusa  5 days ago
JPMorgan Chase & Co. jobs

Bring your expertise to JPMorgan Chase. As part of Risk Management and Compliance, you are at the center of keeping JPMorgan Chase strong and resilient. You help the firm grow its business in a responsible way by

JPMorgan Chase & Co.  3 days ago
Barclays jobs

Job Description Purpose of the role To design, develop, implement, and support mathematical, statistical, and machine learning models and analytics used in business decision-making Accountabilities Design analytics and modelling solutions to complex business problems using domain

Barclays  2 days ago
Koch jobs

Location(s) Navi Mumbai, Maharashtra Company Koch Engineered Solutions Career Field Accounting & Finance Job Number 189899 Your Job Koch Engineered Solutions (KES) is seeking a Financial Analyst for our Europe, Middle East and India (EMEAI) region to

Koch  27 days ago
MUFG jobs

Do you want your voice heard and your actions to count? Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups. Across the globe, we’re 150,000 colleagues, striving to make

MUFG  26 days ago

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