This role is based in India and as such all normal working days must be carried out in India.
Join us as a Finance Stress Test Associate
In this key role, you’ll be acting as part of the resource management team
You’ll be playing a direct role in the allocation of scarce resources to deliver the business plan
This is a great opportunity to develop a wide network and strong relationships across the bank, as you’ll be joining a collaborative and supportive work environment
We’re offering this role for a period of 12 months
What you’ll do
As a Finance Stress Test Associate, you’ll be supporting the production of monthly market risk stress test results and building an in-depth understanding of stress testing methodology. We’ll look to you to stay on top of regulatory developments that drive market risk capital requirements and best practices on market risk stress testing and scenarios modelling.
You’ll be managing and supervising the risks in the business area, making sure that mechanisms are in place to identify, report, manage and mitigate risk within defined risk appetite. Liaising with local technology teams on system developments, you’ll make sure the systems are maintained and up to date for the execution of on-demand stress tests.
You’ll also be:
Creating insightful analytics to explain the drivers of market risk under base and stressed conditions
Involved in production of stress test results and related analysis to aid business decisions
Liaising with multiple teams across Finance to aid seamless and timely delivery of the process
Documenting and coordinating all the inputs into the ICAAP stress testing reports, frameworks and polices
Aiding production of income results for reverse stress testing scenarios using proprietary tools
The skills you’ll need
To be successful in this role, you’ll need a degree in a quantitative area or quantitative parts of economics or finance. You’ll have experience in a stress testing or risk management role, with hands on knowledge of the systems used for stress testing and market risk management.
You’ll also demonstrate:
An understanding of investment banking and trading
Knowledge of different products that investment banks trade in, their risks and the types of clients they service
Working knowledge of VaR and SVaR, IRC and RNIVs
Analytical skills and abstract thinking skills
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