Consultant/Sr.Consultant/Manager/Sr.Manager 96836

Recex.co

Mumbai Suburban

On-site

INR 1,000,000 - 1,500,000

Full time

14 days+
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Benefits offered by this job

Competitive salaries and benefits
High growth work environment
Opportunity to work on international projects

Job summary

A leading consulting firm in Mumbai is seeking a Senior Consultant to tackle complex client problems in risk management, focusing on credit and market risk. Ideal candidates will possess a post-graduate degree and 1-9 years of relevant experience, along with strong communication and problem-solving skills. The position emphasizes teamwork and offers opportunities for growth and career development.

Qualifications

  • 1-9 years of professional experience in a reputed financial or analytics firm.
  • Two years of experience in risk management.
  • Specific exposure to credit risk or market risk.

Responsibilities

  • Solve analytically complex client problems in the Risk domain.
  • Lead modeling workstreams in client engagements.
  • Coach junior team members.

Skills

Knowledge of Multivariate Statistics
Econometrics
Decision Trees
Machine Learning (AI)
Strong problem solving skills
Excellent written and verbal communication skills

Education

Post-graduate degree in Statistics, MBA, or Economics

Tools

SAS
SPSS
Answer Tree
Crystal Ball
@Risk

Job description

Overview

Join to apply for the Consultant/Sr.Consultant/Manager/Sr.Manager 96836 role at Recex.co

Responsibilities
  • Solve analytically complex client problems in the Risk domain, including development of risk scoring models for clients in the financial sector.
  • Lead modeling workstreams in client engagements (such as the development of a model). Define data requirements, clean, aggregate and analyze data, and interpret modeling output.
  • Coach junior team members working on the model development exercise.
  • Provide expert advice to the consulting team on modeling-related issues.
  • Support development and maintenance of proprietary risk management tools and other knowledge development projects.
Qualifications
  • Post-graduate degree (preferably in Statistics or MBA or Economics with a strong quantitative underpinning) from a respected institution with an outstanding academic record.
  • 1-9 years of professional work experience with a reputed bank, insurance, financial firm or analytics firm, with at least two years of experience in risk management.
  • Specific exposure to either credit risk or market risk; quantitative risk management experience is essential.
  • Score card development experience; risk rating development experience.
  • Candidates must demonstrate both a strong business sense and deep understanding of quantitative foundations of risk management.
  • Strong problem solving skills, teamwork, and excellent written and verbal communication skills; fluent in English; experience in a multinational environment desirable.
Skills and Tools
  • Knowledge of Multivariate Statistics, Econometrics, Decision Trees (e.g., CART, CHAID), Optimization, Machine Learning (AI), stochastic processes.
  • Tools: SAS, SPSS, Answer Tree, Crystal Ball, @Risk; data mining tools such as SAS Eminer, Knowledge Studio, Xeno, Model Builder.
Other
  • Candidates must be willing to travel to GCC countries (Saudi Arabia) when required; work from home as applicable.
  • Banking background preferred.
We Offer
  • Interesting work on international projects.
  • High growth work environment.
  • Competitive salaries and benefits package.
  • Opportunity to develop your career in a fast-growing consulting firm.
Seniority level
  • Mid-Senior level
Employment type
  • Full-time
Job function
  • Consulting, Information Technology, and Sales
Industries
  • Human Resources Services

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