Solid understanding of Risk Appetite Framework, Risk Modeling, and Affordability Framework.
Support the development and migration of key reporting functionalities for various portfolios.
Experience with Python/R for statistical analysis, data modeling and proficiency in SAS/SQL for data manipulation and querying.
Ensure the seamless integration of new systems and processes, maintaining business continuity while adhering to strict regulatory standards.
Expertise in data management, analysis, and reporting will be crucial in providing accurate and insightful information to support risk management decisions.
Knowledge of IFRS 9/CECL, CCAR, Regulatory Capital, Basel III & I and familiarity with BCBS 239 and risk and recovery modeling.
Key Skills:
Financial Risk & Regulatory / Regulatory Reporting / Capital Markets / Regulatory Reporting & Data
Seniority Level:
Mid-Senior level
Employment Type:
Contract
Job Function:
Finance and Other
Industries:
Financial Services, Banking, and Data Infrastructure and Analytics