Senior Analyst, Risk Management
New
India-based roleFull-TimeSenior
Salary not disclosed
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Job Details
- Experience
- 3+ years
- Required Skills
- PythonSQLMicrosoft ExcelFinancial analysisData modelingPowerPoint
Requirements
- Bachelor’s degree in Engineering, Mathematics, Economics, Finance, or a related analytical field.
- Advanced degree preferred.
- 3+ years of experience in risk analytics, financial services, or a similar quantitative role.
- Strong SQL skills.
- Proficiency in Python (preferred).
- Advanced Excel and PowerPoint skills.
- Understanding of risk management, credit decisioning, or portfolio analytics concepts.
- Ability to design and execute analytical frameworks.
- Excellent problem-solving skills.
- Strong communication skills with the ability to influence stakeholders.
Responsibilities
- Develop and optimize risk strategies balancing profitability, customer access, and portfolio resilience.
- Partner with product, data science, and engineering to design and evaluate risk experiments.
- Develop and maintain valuation and profitability frameworks.
- Build and refine dynamic risk assessment models using alternative and traditional data.
- Support pricing and underwriting strategies.
- Monitor portfolio performance to reduce defaults and expand credit access.
- Contribute to risk framework scaling across new channels and geographies.
- Translate analytical findings into actionable recommendations for stakeholders.
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