Flexible Work, Better Balance
Senior Analyst - Model Calibration/Monitoring
Risks Permanent contract Bangalore, India Hybrid Reference 250000WS Start date Immediately Publication date 2025/06/04Responsibilities
ROLE DESCRIPTION KEY SKILLS:
3+ years of experience in development of regulatory credit risk (PD, LGD and EAD) and/or provision (IFRS9) models
Exposure to banking book and knowledge of BASEL/IFRS9 guidelines is highly desirable; Exposure to guidelines from European Regulators is desirable
Programing knowledge in SAS and/or R
Excellent written (documentation) and oral communication skills in English
LEADERSHIP SKILLS: Client Focus, Team Sprit, Commitment, Responsibility and Innovation
As a part of the Risk Department, you will be at the center of Société Générale’s business. The Risk Department aims to contribute to the development of business lines and their profitability through...