Talent.com
Risk Analyst

Risk Analyst

ConfidentialMumbai, India
30+ days ago
Job description

Risk Analyst

Position Overview

Job Title : Risk Analyst

Location : Mumbai, India

Role Description

About the business division : Risk division has a fundamental responsibility to protect the Bank. With group-wide responsibility for the management and control of credit, market, operational and reputational risks, we have a unique vantage point which allows us a holistic view of our businesses and our clients. Nearly 3,000 employees work together in our division to achieve our ambition to be an industry-leading risk management organisation. In an increasingly complex environment, risk management is fast becoming the most sought-after place to build a career within the banking world. Risk at Deutsche Bank is relied upon to help shape the strategy of the organisation and the wider industry agenda

Global Credit Analytics Team (GCAF)

Global Credit Analytics Team (GCAF) is one of the pillars in the Credit Risk domain of the Bank, responsible for assigning Probability of Default Rating as well as determining the Credit Risk & appetite of the Corporate and Institutional counterparties of the Bank. The team is involved in identifying business and financial risks of the clients based of the underlying business model as well financial statement analysis to ensure appropriate credit controls in place. It also conducts Annual Credit Reviews and ensures strong portfolio surveillance / monitoring and conducts need based portfolio reviews

Operational Risk Management (ORM)

Operational Risk Management (ORM) function monitors the Group-wide management of operational risks and emerging risks with mandate to identify, analyse, measure, and control all non-financial risks within DB, ensuring they are contained within the risk appetite of the bank. The team supports Management in making informed risk decisions by providing comprehensive analysis, reports, and coverage of risk data. We use both quantitative and qualitative approaches within the Operational Risk division, ensure accuracy of Business inputs through rigorous quality assurance and perform risk aggregation offering a complete view of risk exposure.

Market Risk Analysis & Control (MRAC)

Market Risk Analysis & Control (MRAC) is a centralised function across globe within Market and Valuation Risk Management (MVRM).The function manages Deutsche Bank's Market Risk position in an independent and neutral way. It provides an independent view of market risks to Deutsche Bank's senior management to facilitate risk management decisions

The Market Risk Analysis and Control (MRAC), Portfolio Stress Testing (PST) and Market Data Strategy and Analytics (MDSA) functions within MVRM are responsible for the provision of all official market risk metrics and core analysis The team is structured below verticals

Production Analytics, Business Aligned MRAC supporting market risk analytics for Risk Managers

Portfolio MRAC supporting DB Group level market risk analytics and Market Risk RWA computation

Portfolio Stress Testing supporting Bank wide Market risk Stress Testing

Market Data supporting maintenance and changes to the market data used for risk metric production, Governance team overarching all the above teams in ensuring proper governance and key controls.

Valuation Risk (VR)

Valuation Risk (VR) is a centralised function of over 300+ professionals across globe within Market and Valuation Risk Management (MVRM) responsible for the independent valuation of balance sheet positions predominantly across the Investment & Corporate Bank.

As part of the firm's Valuation Control process, VC acts as a specialised function to ensure that the trading portfolios are independently priced at fair value. In addition, VC acts as subject matter experts and internal advisors to other teams on Valuation-related topics, providing independent supporting analysis.

The staffing of the group is drawn from a wide range of backgrounds including risk management, sales and trading, Quantitative analysts and accounting / product control.

Enterprise Risk Management (ERM)

Enterprise Risk Management (ERM)'s mission is to shape Bank strategy and lead risk management at enterprise level, unconstrained by risk types and geographies, together with ERM's partners in Risk and the Bank.

ERM manages the enterprise-level risk management framework so that all risks are identified, owned and controlled Bank-wide, and within the agreed risk appetite and culture.

What we'll offer you

As part of our flexible scheme, here are just some of the benefits that you'll enjoy

Best in class leave policy

Gender neutral parental leaves

100% reimbursement under childcare assistance benefit (gender neutral)

Sponsorship for Industry relevant certifications and education

Employee Assistance Program for you and your family members

Comprehensive Hospitalization Insurance for you and your dependents

Accident and Term life Insurance

Complementary Health screening for 35 yrs. and above

Your key responsibilities

Global Credit Analytics Team (GCAF)

Undertake accurate and timely credit analysis of counterparties (including Corporates and FIs) by identifying business and financial risk based on understanding of business models, financial statement analysis, preparing cash flow model / forecast and peer analysis.

Write Rating reports and credit reviews / analysis for recommendation to Senior members for approval.

Active participation in Live trades with onshore credit officers (KCP) by understanding the trade dynamics, providing your recommendation and completing the credit write-ups (Addendum) for the same.

Monitoring of limits / exposure : Updating Limit amendments and credit relevant data updates in the credit system

Operational Risk Management (ORM)

Identify areas of risk challenges and monitor emerging risks to provide insights.

Preparation and analysis of decision-making materials (such as reports, dashboards, etc) for effective Risk Monitoring.

Ensure appropriate messaging in various Senior Management Forums based on read across Risk information (e.g. loss themes, metrics, Findings / SIIs and other contextual information).

Perform Quality Assurance on New Product / Transactions in the Bank and other Risk Framework inputs like Events and Self-Identified issues.

Market and Valuation Risk Management (MVRM)

Market Risk Analysis & Control (MRAC)

Production and data analytics of risk metrics at asset and portfolio level.

Impact analysis of change in market data on market risk metric

Execution of market risk calculation processes and process enhancements. Management of Front-to-back SLAs and KPI's.

Market risk and stress testing analytics

VaR (primarily Historical Simulation based) and backtesting analysis at Asset Class and Portfolio level

Create / update market data models to incorporate in VaR calculation

Impact analyses of impending regulatory changes as well as ongoing methodology and system enhancement related changes

Automation through usage of Python, Tableau and other internal strategic architecture

Valuation Risk (VR)

Perform the IPV (Independent Price Verification) processes on vanilla & exotic products like Bonds, IR Swaps, Swaption, Inflation Swaps, Inflation Options, CDS, FX Options, etc. analyze and explain the outputs, identify drivers for variance, and publish the results to a broader audience.

Discuss price testing results, fair value and model reserves, general modelling issues / uncertainties with front office and reporting on suitability for specific products / markets

Prepare MIS pack presentation and report the same to senior Management, Front Office, Risk Management, and Finance.

Take ownership of the process and models, thoroughly understand the underlying financial and mathematical concepts, and make changes / improvements, in consultation with other stakeholders, if situation warrants

Enterprise Risk Management (ERM)

Coordinate accountability of critical risk reports, including delivery / write-up of thematic key risk development updates

Undertake targeted (cross) risk reviews, challenge stakeholder input and clearly articulate recommendations in a timely manner

Accountable for the timely delivery of input deliveries across risk types, provide guidance on timelines, expected content etc

Perform quality control checks over incoming and outgoing deliveries (both content and format)

Your skills and experience

Relevant professional qualifications are MSc / MA / MBA / CA / CFA, etc. Experience / understanding of Risk within the Financial Market / Investment Banking industry and In-depth understanding of other Risk measurement Strong analytical skills, knowledge of financial markets and economic / industry trends

Strong accounting background, knowledge of financial ratios, financial statement analysis, cash flow projections or project finance

Excellent communication skills, ability to articulate technical and financial topics with global stakeholders

Problem-Solving and Critical Thinking

A reliable team player with the motivation to work in a dynamic, international and diverse environment

A committed and motivated individual and ability to multi-task and deliver under tight deadlines

How we'll support you

Training and development to help you excel in your career

Coaching and support from experts in your team

A culture of continuous learning to aid progression

A range of flexible benefits that you can tailor to suit your needs

About us and our teams

Please visit our company website for further information :

We strive for a in which we are empowered to excel together every day. This includes acting responsibly, thinking commercially, taking initiative and working collaboratively.

Together we share and celebrate the successes of our people. Together we are Deutsche Bank Group.

We welcome applications from all people and promote a positive, fair and inclusive work environment.

Create a job alert for this search

Risk Analyst • Mumbai, India

Related jobs
  • Promoted
Senior Analyst - Performance Attribution, Malaysia

Senior Analyst - Performance Attribution, Malaysia

Invartis ConsultingKalyan-Dombivli, IN
Job Location - Cyberjaya Malaysia.This role will require relocation to Malaysia.The position is not based in India.We are seeking to hire well experienced Techno-functional Investment Performance O...Show moreLast updated: 30+ days ago
  • Promoted
Analyst - Operational Risk & Internal Control - Oil / Metals Industry - CA

Analyst - Operational Risk & Internal Control - Oil / Metals Industry - CA

Trafigura Global services Private LimitedMumbai, India
Main Purpose : - Identifying process risks through continuous monitoring consisting of review of business processes and monitoring financial and operational environment and rele...Show moreLast updated: 30+ days ago
  • Promoted
Supplier Risk Analyst

Supplier Risk Analyst

WTWMumbai, Maharashtra, India
This job is with WTW, an inclusive employer and a member of myGwork – the largest global platform for the LGBTQ+ business community. Please do not contact the recruiter directly.Description Knowled...Show moreLast updated: 1 day ago
  • Promoted
Safety Analyst

Safety Analyst

National LogisticsBorivali, Maharashtra, India
Company Description National Logistics is an accredited freight carrier that provides reliable freight moving services across the nation. Department : Safety & Compliance Location : Remote (U.Based) E...Show moreLast updated: 1 day ago
  • Promoted
  • New!
Tech-Functional Business Analyst – Safety Systems (Argus, DLP, Case Processing)

Tech-Functional Business Analyst – Safety Systems (Argus, DLP, Case Processing)

vueverse.thane, maharashtra, in
Senior IT / Tech-Functional Business Analyst.Pharmacovigilance (PV) safety systems, particularly.This role focuses on system configuration, enhancements, integrations, validation, and ongoing technic...Show moreLast updated: 13 hours ago
  • Promoted
Senior Portfolio Risk Analyst

Senior Portfolio Risk Analyst

ArcanaThane, IN
Arcana is a portfolio intelligence platform used by hedge funds and asset managers to analyze performance and risk.We’re rethinking the tools institutional investors rely on—and we’re hiring analys...Show moreLast updated: 4 days ago
  • Promoted
Risk Management – Credit Risk Infrastructure -Analyst

Risk Management – Credit Risk Infrastructure -Analyst

NomuraMumbai, Maharashtra, India
Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions.By connecting markets East & West, Nomura services the needs of individuals, i...Show moreLast updated: 30+ days ago
  • Promoted
Senior Credit Risk Analyst

Senior Credit Risk Analyst

KisshtMumbai, Maharashtra, India
We are seeking a talented and detail-oriented Risk Analyst to join our Risk Analytics team.The ideal candidate will be responsible for identifying, analyzing, and assessing the potential risks that...Show moreLast updated: 30+ days ago
  • Promoted
Business Intelligence Analyst

Business Intelligence Analyst

bluCognitionThane, IN
Business Intelligence Analyst - Risk Reporting.Support the team requirements of creating risk reporting for business and risk teams. Develop foundational skills in understanding the fundamentals of ...Show moreLast updated: 2 days ago
  • Promoted
HDFC Life Insurance - Senior Manager - Credit Risk Analyst

HDFC Life Insurance - Senior Manager - Credit Risk Analyst

HDFC Life Insurance Company LimitedMumbai, India
What are we looking for? We are seeking an experienced professional to join our Investment Front Desk team.The ideal candidate will possess strong analytical skills,...Show moreLast updated: 2 days ago
  • Promoted
Risk Management– Market Risk FRTB – Analyst

Risk Management– Market Risk FRTB – Analyst

NomuraMumbai, Maharashtra, India
Nomura Overview : Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions. By connecting markets East & West, Nomura services the needs...Show moreLast updated: 4 days ago
  • Promoted
Risk Management - Credit Risk Infrastructure -Analyst

Risk Management - Credit Risk Infrastructure -Analyst

NomuraMumbai, Mumbai (district)
Nomura is a global financial services group with an integrated network spanning approximately 30 countries and regions.By connecting markets East & West, Nomura services the needs of individuals, i...Show moreLast updated: 4 days ago
  • Promoted
  • New!
Business Risk Analyst

Business Risk Analyst

Talentgigsmumbai, maharashtra, in
Contribute to a Sustainable Future.The common thread that weaves together everyone in our Company is our vision to make a difference in the life of farmers through technology, data & innovation.We ...Show moreLast updated: 1 hour ago
  • Promoted
ALM Risk Management

ALM Risk Management

FORWARDKalyan-Dombivli, IN
Experience of minimum 10+ years plus, working in a bank or a reputed consulting firm in the areas of Liquidity risk management, Liquidity reporting, ALM s FTP, RAROC. Comprehensive understanding of ...Show moreLast updated: 5 days ago
  • Promoted
Risk Analytics IMM Counterparty Credit Risk, Analyst / Associate, Firm Risk Management

Risk Analytics IMM Counterparty Credit Risk, Analyst / Associate, Firm Risk Management

Morgan StanleyMumbai, India
Risk Analytics - IMM Counterparty Credit Risk - Analyst / Associate.We're seeking someone to join our team as a Analyst / Associate to IMM Counterparty Credit Risk, Risk Analytics team.In the Firm Ri...Show moreLast updated: 30+ days ago
  • Promoted
Tech-Functional Business Analyst – Signal & Risk Management (Pharmacovigilance)

Tech-Functional Business Analyst – Signal & Risk Management (Pharmacovigilance)

vueverse.Mumbai, IN
We are looking for a highly experienced IT / Tech-Functional Business Analyst (12+ years) with deep expertise in Pharmacovigilance (PV) systems, specifically Signal Management and Risk Management mod...Show moreLast updated: 1 day ago
  • Promoted
Fraud & Payments Risk Analyst - 50820

Fraud & Payments Risk Analyst - 50820

TuringMumbai, Maharashtra, India
About Turing : Based in San Francisco, California, Turing is the world’s leading research accelerator for frontier AI labs and a trusted partner for global enterprises deploying advanced AI system...Show moreLast updated: 12 days ago
  • Promoted
Forward Deployed Analyst (Ex-IB / PE / HF / Buyside)

Forward Deployed Analyst (Ex-IB / PE / HF / Buyside)

ArcanaKalyan-Dombivli, IN
Forward-Deployed Analyst – Portfolio Intelligence.Arcana builds institutional-grade analytics for leading hedge funds and asset managers. We’re hiring exceptional analysts to partner with portfolio ...Show moreLast updated: 30+ days ago