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Senior Analyst , Risk Management


Source:
TIMESJOBS.COM
Date:
13-11-2016
Job Code:
58269698
Categories:
  • Banking & Finance
Applying for this job will take you to an external site
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Job Details

Mathematical, statistical and financial analysis of USD 42 billion residential loan servicing portfolio as well as other financial services models.Develop statistical and financial models for assessing probability of pre-payments, re-defaults, charge-off risk, loan resolution, portfolio optimization etc.Maintain, enhance and validate existing models.Education Level Engineering degree from IITs or top tier engineering collegesMasters degree in Mathematics / Statistics / Operations Research or similar quantitative fields from reputed colleges Hands on experience in Mathematical/Statistical/Financial modelingExperience using MS-Excel, MS-Access and SQLBasic programming in C/Java/VBAGood analytical and problem solving skillsGood communication skillsPreferred Experience working with MATLAB/R/SAS/SPSSPreferred Experience in quantitative modeling of mortgage loan and/or credit portfoliosPreferred Knowledge of US Mortgage Industry OR Fixed Income SecuritiesConceptual and creative thinking skills to improve the overall business experience using the tools developedGather and analyze business requirements
Degree: MCA/ PGDCA

Additional Degree: BE/ B.Tech (Engineering)

Experience: 3-6

Requirements

Application Programming | Business/Systems Analysis | Software Engineer
Applying for this job will take you to an external site

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