Job Title: Assistant Manager | Financial Risk | Bengaluru | Regulatory & Financial Risk
- A bachelor’s degree or higher in Quantitative Finance, Financial Engineering, or Actuarial Studies; or a combined/double degree with one major in in Commerce, Finance, Accounting, Economics and the other in Statistics, Mathematics, Engineering, Business Analytics, Data Science, or equivalents with exposure to coding skills.
- Demonstrated knowledge of financial markets, the financial services industry, and financial instruments.
- Proficient programming skills, including the ability to design and develop sophisticated tools for tasks like data extraction and visualization, risk, and financial modelling.
- Proficiency knowledge and experience (1-3 years) with at least one programming language, including but not limited to R, Python, SQL, and VBA.
- Proven ability to thrive in a dynamic, agile environment, demonstrating strong collaborative skills and the capacity to effectively communicate complex information to diverse audiences.
- Exposure to process automation tools such as RPA, UiPath or Alteryx is advantageous.
- Exposure to cloud-based environment such as Dev-ops, Databricks, Azure Data Lake is advantageous.