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Key skills we are looking for:


In our team you’ll build and nurture positive working relationships with teams and clients with the intention to exceed client expectations. We are looking for candidate with:-


• Working knowledge of Credit Risk Management, Risk Reporting, Credit Risk Analysis, (Basel requirements,
regulatory guidelines related to credit risk)
• Experience working in (Rating models,IFRS9,Scorecard validation)
• Working knowledge of Machine learning, Model validation, Expected credit loss.
• Develop and validate risk measurement models for credit, market and liquidity risk
• Build frameworks to ensure regulatory compliance (Basel, LIBOR transition, Risk Based Supervision, IFRS9, etc.)
• Implement regulatory change programs
• Design and implement capital management strategies and tools
• Develop and validate risk measurement models for credit risk management covering:
• Credit rating / scoring methodologies
• Basel IRB models (PD, LGD, EAD etc.)
• Stress Testing/CCAR models
• IFRS9/USGAAP Impairment models


Qualification:
• MBA or equivalent master’s degree
• Bachelor’s Degree in Finance related courses (e.g. Accountancy, Business, Economics and Banking &Finance) or Computer
Sciences & Information Technology.

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