Senior Analyst, Financial Risk Analytics & Reporting
About Northern Trust:
Northern Trust provides innovative financial services and guidance to corporations, institutions and affluent families and individuals globally. With over 130 years of financial experience and nearly 20,000 partners, we serve the world’s most sophisticated clients using leading technology and exceptional service.
Working with Us:
As a Northern Trust partner, you will be part of a flexible and collaborative work culture, which has a strong history of financial strength and stability. Movement within the organization is encouraged, senior leaders are accessible, and you can take pride in working for a company that is committed to strengthening the communities we serve!
We recognize the value of inclusion and diversity in culture, in thought, and in experience, which is why we are honored to receive the following awards in 2021:
• Gender Equality Index Member, Bloomberg
• Top Financial & Banking Company, Black EOE Journal, Hispanic Network Magazine, Professional WOMAN'S Magazine
We’d love to learn more about how your interests and experience could be a fit with one of America’s best banks and most sustainable companies! Build your career with us and apply today.
Job Description – Financial Risk Analytics & Reporting
Job title: Analyst/Senior Analyst- Non Officer
Location:Bangalore
Experience: 2 -4 years of experience
CMR- Reporting/Monitoring
• Support execution of key daily, monthly and quarterly counterparty risk processes (exposure reporting, products and counterparty limits updates and monitoring etc.), including management reports for the Capital Markets Risk Team (CMR )
• Drive the execution of reports:
– Ensure all delivery timelines are met, procedures are followed with sufficient checks and controls
– Perform analysis, deep dives and provide thought leadership (portfolio analysis, trend analysis, impact analysis)
– Understand the bigger picture and the impact of the work on upstream & downstream systems. Gain a comprehensive understanding of the business and products.
– Review results, ensuring accuracy and timeliness
– Document results in the right format for different audiences
– Coordinate with BUs and other stakeholders inside and outside of Risk
– Provide responses to internal and external audits and examinations
– Liaise and coordinate activities with trading locations, trading risk managers, and other trading risk subject matter expert to insure local jurisdictional needs are met.
Qualification
• MBA/Experience in Capital Markets or related fields
• MBA/FRM/CFA from Tier 1/2 college
Skills Required
• Strong knowledge of financial and risk measurement concepts and products like – Treasury, Security Lending, Fixed Income, FX would be an added advantage
• Commercial awareness
• Communication and interpersonal skills
• Time management and organizational skills
• Problem-solving skills
• Analytical skills
• A positive goal orientated attitude with a focus on delivery