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Senior Manager-Model Risk Management.RMG-Model Risk Management

Senior Manager-Model Risk Management.RMG-Model Risk Management

ConfidentialBengaluru / Bangalore, India
10 hours ago
Job description

Senior Manager - Model Risk Management

The primary role of the incumbent is to conduct and manage the end-to-end validation and governance of models across the bank, in line with regulatory requirements. The role requires regular coordination with stakeholders, management of the Model Oversight Committee, maintenance of the model inventory, and supervision / training of junior team members. The incumbent will work closely with the Head of MRM to ensure all model risk related regulatory requirements are met.

  • Manage and conduct validation / governance activities related to models used across the bank, including Credit, Market, Operational, AML, Marketing and other non-risk models. Examples of models include : PD, EAD, LGD, Stress Testing, IFRS9, VaR / PSRE / CVA etc.
  • Maintain the Model Inventory and assist in regular reporting of model risk
  • Prepare responses to questions / findings from Audit and / or Regulators.
  • Manage stakeholder interaction with model developers and business owners during the model life cycle.
  • Prepare and / or review validation reports to ensure they meet regulatory guidelines and best industry standards.
  • Review model validation reports published by external vendors to ensure compliance to Model Risk Management policy.
  • Review adherence to Model Risk Management policy and regulatory requirements for each model listed in the inventory.
  • Active participation in activities related to Model Oversight Committee.
  • 5-8 years of experience in the BFSI sector with understanding of risk management and modelling processes. Experience should specifically be in a quantitative role in either model development or validation areas.
  • Bachelor's in Statistics, Mathematics, Quantitative Finance, Engineering, or related fields.
  • Practical experience with handling large datasets and building / testing models using Python, R, and SAS.
  • Good knowledge and understanding of a variety of model development and validation testing techniques covering risk and non-risk models
  • Excellent writing and communication skills in order to produce / finalize high quality validation reports and present them to various types of audiences.
  • Demonstrated project management and organizational skills and capability to handle multiple projects at one time
  • Outstanding interpersonal skills, to manage relationships with various stakeholders including model developers, business users, external consultants etc.

The leading financial institution in MENA

While more than half a century old, we proudly think like a challenger, startup, and innovator

in banking and finance, powered by a diverse and dynamic team who put customers first.

Together, we pioneer key innovations and developments in banking and financial services.

Our mandate To help customers find their way to Rise Every Day, partnering with them through

the highs and lows to help them reach their goals and unlock their unique vision of success.

Delivering superior service to clients by leading with innovation, treating colleagues with dignity and fairness while pursuing opportunities that grow shareholders value.

We actively contribute to the community through responsible banking in our mission to inspire more people to Rise.

Skills Required

Risk Management, model validation, Sas, model development , Python

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Risk Management • Bengaluru / Bangalore, India