Job Description
We’re Hiring: Analyst – Risk Data (Banking Industry)
Location:
Remote
Contract Duration:
6 Months (Extension based on performance review)
Industry Requirement:
Banking experience
mandatory
We are looking for an experienced
Data & Analytics Analyst
with strong expertise in
Credit Risk and Risk Data Management
within the
banking sector . This role involves supporting risk data acquisition, aggregation, analysis, and reporting while contributing to innovative solutions that enhance risk data management and analytics.
⚠️
Note:
Only candidates currently working in the Banking Industry and meeting the required criteria should apply.
Key Responsibilities
Provide
high-quality analytical inputs
to support Risk Data acquisition, aggregation, calculations, and reporting.
Capture, validate, and document
business and data requirements
aligned with strategic principles.
Analyze and visualize
large volumes of risk data
to identify business opportunities and support decision-making.
Collaborate closely with teams including
Credit Risk Model Development, Risk Appetite, Portfolio Management, BASEL Capital Management, and IFRS 9 Reporting (Wholesale Banking) .
Work with
IT partners
to deliver solutions for migrated legacy systems and align with strategic risk data architecture.
Develop
automation solutions
for recurring tasks using
SQL, Python, and Excel Macros
while contributing to long-term strategic solutions.
Support
Risk & Finance data controls
and help strengthen risk data governance and standards.
Conduct
data gap analysis , identify business issues, and contribute to high-quality data-driven business solutions.
Perform
data extraction, processing, manipulation, and analysis
to improve risk reporting and operational efficiency.
Execute
quality assurance checks
to ensure data accuracy, consistency, and reliability.
Required Skills & Experience
8–10 years of experience
in
Credit Risk, Risk Data Management Framework, and Basel III
within the
banking industry .
Strong understanding of
Investment Banking products, Credit Risk, Stress Testing, Wholesale Credit Risk Model data, and Basel Capital Requirements .
Hands-on experience with
Risk Data Collection, Aggregation, Calculations, and Reporting .
Strong analytical and problem-solving skills with expertise in
data gap analysis and solutioning .
Proficiency in
SQL, Python, R, and database tools .
Experience with
data automation and reporting frameworks .
Excellent
communication and stakeholder management skills .
Education
Graduate degree required
MBA (Finance) or equivalent preferred
CFA / FRM certification will be an added advantage
Key Attributes
Strong
team collaboration and accountability
High
integrity and ethical standards
Ability to drive
process improvements and automation initiatives
Professional mindset with a strong focus on
data accuracy and governance
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.
Job Details
Posted Date:
March 12, 2026
Job Type:
Technology
Location:
India
Company:
TriOptus
Ready to Apply?
Don't miss this opportunity! Apply now and join our team.