About the role: Quantitative Risk Analyst plays a pivotal role in safeguarding the integrity of the models that drive critical financial decisions. Youll be part of a collaborative, multi-location team spanning Bangalore, London, and Zurich, reviewing derivatives pricing to
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
City Mumbai Job Type Full Time Country / State India Function Category Quantitative Analysis, Risk Join us At UBS, we know that its our people, with their diverse skills, experiences and backgrounds, who drive our ongoing success. We’re
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
Job Description Counterparty Risk (CCR), part of Wholesale Credit Risk, is responsible for measuring and monitoring counterparty exposures across OTC derivatives (cleared and non-cleared), Futures and Options, Securities Financing, Securities Prime Services, CCPs and Commodities. The broader CCR
The Procurement Risk Analyst supports procurement and supply chain operations by identifying, analyzing, and mitigating supplier and supply chain risks to ensure business continuity and operational efficiency. This role executes procurement strategies aligned with material buying plans, with a
An individual in Enterprise Risk Management plays a critical role in managing the banks diverse risks to ensure financial stability and sustained growth. This involves the identification and management of enterprise-level and cross-cutting risks, designing and executing stress tests,
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
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
The Global Merchant & Network Services (GMNS) organization is responsible for managing relationships with millions of Merchants and Partners around the world that facilitate American Express acceptance and enabling the day-to-day operations of our company’s payment
The Global Merchant & Network Services (GMNS) organization is responsible for managing relationships with millions of Merchants and Partners around the world that facilitate American Express acceptance and enabling the day-to-day operations of our company’s payment
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
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
RMBS Structured Finance (SF) Senior Analyst (Mumbai) The Team: DBRS Morningstar is a global credit ratings business with about 800 employees in eight offices globally. Formed through the acquisition of DBRS by Morningstar, Inc., the credit ratings
As one of the world’s leading independent global investment firms, Invesco is dedicated to rethinking possibilities for our clients. By delivering the combined power of our distinctive investment management capabilities, we provide a wide range of
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
Global Risk & Compliance (“GRC”) independently oversees the company’s compliance, risk-taking and risk management activities, including the comprehensive identification, management, and mitigation of risks within the Company’s risk appetite. GRC ensures the company operates in a safe, sound and fully compliant
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
Are you a highly skilled Quantitative Developer eager to contribute to cutting-edge algorithmic trading strategies within a global financial institution? Citis Cash Equity Quant team in Mumbai is seeking a talented individual to join its dynamic group.
Job Description Purpose of the role To gather, analyse, and present risk data in a clear and concise manner to stakeholders across the organisation, facilitating informed decision-making, risk mitigation, and regulatory compliance. Accountabilities Development and maintenance of a