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Job Location | Noida |
Education | Not Mentioned |
Salary | Not Disclosed |
Industry | Banking / Financial Services |
Functional Area | SBU Head / CEO / Director |
EmploymentType | Full-time |
Job Title : AVP - Basel IV (Pillar 3 Changes) Assistant Vice President (AVP) has responsibility to effectively and efficiently lead and complete financial and risk analysis and meet the capital and regulatory reporting requirements, and to ensure best quality of output and accuracy of information. This includes delivering valuable portfolio insights to help portfolio analysts, Senior Risk Managers, Group Risk, Group Finance, Barclays Board and Regulators make informed decisions in compliance with Regulatory and Group Risk Policies.What will you be doing Projects and Change Management Initiate and/or actively participate in Projects in Risk MI, Regulatory Risk and Capital Reporting teams. Should be able to define BRD, control project implementation and perform testing. Major aspect of this position is to support and get done the implementation of Basel IV/ CRR2/EBA Reporting Requirements both from an external reporting perspective (Results Announcements, FinRep, CoRep, ICAAP, QIS, etc) and from an Internal Reporting perspective. Ideate, formulate, socialize and deliver process improvements and efficiencies that align to strategic goals and regulatory environment. Support the team periodic / Ad hoc system changes and UAT.Capital Reporting and Risk MI Manage Data uploads, handle exceptions, prepare reports & dashboards for periodic reporting. Ensure robust capital reporting month end close process to provide timely and accurate reporting and supporting the team to achieve the same. Review & support for the preparation of adjustment and analysis produced by the capital reporting team. Participate and extend support in the production of Regulatory Risk and Risk MI reports regular / adhoc. Ensure the controls are operating effectively at all time. Ensure reporting issues are reported and resolved on a timely basis by supporting the team both from functional and technical standpoint.Business & Portfolio Support Constantly aim to increase understanding and command of clusters and portfolios (Retail, Wealth, Barclaycard, HO, etc). Conduct analytical reviews of portfolio movements and business & economic drivers behind movements. Support business analytics on loan restructures, RWA efficiencies, KRI rationalizations, etc.What we re looking for:Graduate from a numerate discipline Maths, Science, Engineering, Economics, Statistics, OR, etc or from an accounting background.Skills that will help you in the role :Good understanding of Risk management including Basel III/IV and detailed knowledge of Economic Capital calculations. Knowledge and experience of Capital Reporting, ICAAP, Basel III & Basel IV, CRD IV & V (Capital Requirements Directive) and COREP (Common Reporting). Good understanding of the Group capital reporting policies and procedures SAS report writing skills Web Report Studio, Enterprise Guide Financial domain knowledge, particularly in areas of reporting, financial planning & analysis (short-term, long-term), effective presentation skills, managing voluminous financial data, identifying and solving data quality Independently Project Manage and get desired Basel IV changes implemented, including business analysis, issues investigation, etc. An awareness of the theoretical and practical side of risk management and financial control. Some knowledge of risk models this is not a modelling role but the ability to understand the concepts and limitations of PD modelling is preferable.,
Keyskills :
report studiomi reportsreport writingrisk analysisrisk modelsclose processfinancial datawriting skillsbasel iiiweb report studio