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Data Analyst, Risk Analytics & Modelling

2.00 to 5.00 Years   Chennai (Tamil Nadu)   03 Dec, 2024
Job LocationChennai (Tamil Nadu)
EducationMBA/ PGDMAny Graduate
SalaryAs per Industry Standards
IndustryEducational/Training, Research/Surveyor/MR
Functional AreaBanks/Insurance/Financial Services
EmploymentTypeFull-time

Job Description

Data Analyst, Risk Analytics & Modelling-Chennai (2 Years of Experience)Data Analyst, Risk Analytics & Modelling-Chennai (2 Years of Experience) A Client of Analytics VidhyaChennai INR 5 - 7 LPA Experience : 2 YRS. Openings: 3Details:We are looking to hire a data analyst to work with its risk analytics team based in Chennai. The team focusses on developing data driven risk analytics models to gain insights into borrower behaviour across multiple asset classes using advanced statistical learning methods on more than 6 million underlying loan contracts and estimate loss on its structured finance credit and corporate portfolio.Key responsibilitiesManage data sources, database and movement of data and data organization across different systemsDesign and implement data validation processes for dataDesign and supervise data and information security processesDocument the data management and information system processesAssist the Risk Analytics team in designing and executing the data analytics projectPrepare standardized reports using the data based on the team requirementsAssist the Risk Analytics team in designing the business intelligence toolsManage large loan level and borrower level data used for risk and learning modelsMeasure the risk and performance indicators for debt and structured finance products using existing and new modelsContribute towards other risk management work done by the risk management functionTravel not more than 20 PERCENT of the time to meet IFMR Capital partnersEssential SkillsAt least two years of experience in database or project managementShould have hands on experience of designing database schemasProficiency in programming: SQL and at least one of R/Python/VBAExperience in handling large structured and unstructured datasetsBackground in statistics and probability is a plusPGDM/Masters degree in Information Systems/Maths/Statistics//Finance/Engineering /other quantitative disciplinesActuaries/FRM/CFA/CQF/PRM certification would be a plusKnowledge and experience in structured finance products (securitization structures) would be a plusExcellent writing, oral communication and presentation skillsMin. Qualification: pgSkills Required: data analysis, database, data management, modeling, python, r, risk, sql, statistics

Keyskills :
portfolio risk analytics cfa frm risk management structured finance data analysis risk

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