Product Manager - Risk Analytics & Modeling - Investment Banking Domain (8-12 yrs) Metros/Bangalore/Chennai/Gurgaon/Gurugram/Hyderabad/Kolkata/Mumbai/Noida (Product Management)
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Noida, India
17h ago
source :

WORK Location : Hyderabad

What you'll do :

  • Carry the product / feature from concept to creation
  • Leverage your risk expertise to brainstorm product / feature and its value proposition to our client base
  • Distill the vision into documents such as product roadmap and product / feature specification via deep dives into domain, gathering requirements and / or business analysis
  • Work closely with the engineers / architects to translate the Product Specification to design, and then to the product itself
  • Prepare comprehensive business test cases / beds to aid the engineering process
  • Rigorously and continuously evaluate the progress of product / feature-in-flight by leveraging the created test cases / beds and ensure compliance to the product / feature specification and the vision
  • Track and question risks / assumptions
  • Proactively escalate issues and mitigate execution risks
  • Be involved in conducting competitor analysis
  • What you'll need :

  • Minimum 2+ years of experience working with risk technology in front or middle office
  • Overall experience of 8+ years
  • Strong knowledge of portfolio / securities risk analytics, modelling and valuation
  • Strong knowledge of probabilities / distributions, building decision trees and regression models
  • Working knowledge of a programming language like python, R etc. and SQL
  • Experience working closely with engineers
  • Outstanding academic background with strong emphasis on Mathematics / Statistics / Engineering
  • Exceptional verbal and written communication skills
  • Critical thinking and the ability to articulate standpoints / ideas and influence stakeholders
  • A healthy combination of resourcefulness, domain expertise, creativity and execution prowess
  • Good to have :

  • Practical exposure to the market data provider's terminals (e.g. Bloomberg, Eikon) & widely used market risk measurement tools (e.g. Risk Metrics etc.)
  • FRM Certification
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