• Analyst - WM Credit - Credit Risk Analytics Jobs in Mumbai,India

  • Morgan Stanley Pvt Ltd

Job Description:

Primary Location Non-Japan Asia-India-Maharashtra-Mumbai (MSA)

Job Risk Management

Employment Type Full Time

Job Level Analyst

Description

Analyst-Associate - Credit Risk Analytics (Wealth Management)

Company Profile

Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services The Firms employees serve clients worldwide including corporations, governments and individuals from more than 1,200 offices in 43 countries

As a market leader, the talent and passion of our people is critical to our success Together, we share a common set of values rooted in integrity, excellence and strong team ethic Morgan Stanley can provide a superior foundation for building a professional career - a place for people to learn, to achieve and grow A philosophy that balances personal lifestyles, perspectives and needs is an important part of our culture

Department Profile

Credit Risk Management (CRM) evaluates credit risk transactions and approves, rejects or modifies them considering the availability and appropriateness of arrangements for reducing risk or risk mitigation The department also assigns Internal Credit Ratings; establishes and manages credit risk limits in accordance with the risk tolerance established by the Board; monitors and reports on credit risk exposures on a regular basis to the Chief Risk Officer and senior management CRM also interacts with business units to ensure that credit risk assessments are factored into business decisions

Analyst Role

Position Description

Morgan Stanley is seeking a highly qualified candidate to join the Wealth Management Analytics team The ideal candidate will demonstrate strong analytical skills as well as the ability to work within a team environment and manage to tight deadlines

Primary job responsibilities include

Perform ongoing credit loss calculations for Wealth Management lending products under CCAR, ACL / ALLL, and Basel Capital

Perform portfolio-level data analytics of various Wealth Management retail & wholesale lending products (eg, Residential Mortgages, Securities Based Lending, Commercial Real Estate, etc)

Work alongside members of the WM Analytics team in New York to conduct business analytics and variance analysis for Wealth Management

Execute statistical regression models in order to assess the credit worthiness of Wealth Management client exposures

Produce and maintain model documentation and procedures, and create management reporting and other presentations

Qualifications

Bachelors Degree required

Maximum 3 years of relevant experience in the financial industry; previous experience in risk management and/or knowledge of retail banking products is a plus

Proficiency in MS Excel, MS Access Database skills Also, previous experience in data analytics of large data sets and a coding background are a plus (eg, SQL, VBA, Tableau)

Strong organizational skills, process management and time management skills

Strong oral and written communication, including the ability to communicate effectively across regional teams

Self-motivated and proactive attitude, with relentless attention to detail and an inquisitive nature

Excellent team player with the ability to work harmoniously with a diverse workforce

Qualifications

Qualifications

Bachelors Degree required

Maximum 3 years of relevant experience in the financial industry; previous experience in risk management and/or knowledge of retail banking products is a plus

Proficiency in MS Excel, MS Access Database skills Also, previous experience in data analytics of large data sets and a coding background are a plus (eg, SQL, VBA, Tableau)

Strong organizational skills, process management and time management skills

Strong oral and written communication, including the ability to communicate effectively across regional teams

Self-motivated and proactive attitude, with relentless attention to detail and an inquisitive nature

Excellent team player with the ability to work harmoniously with a diverse workforce

Profile Summary:

Employment Type : Full Time
Eligibility : Any Graduate
Industry : Financial Services/Stockbroking
Functional Area : Banks/Insurance/Financial Services
Role : Risk/Credit/Economic Analyst
Salary : As per Industry Standards
Deadline : 18th Mar 2020

Key Skills:

Company Profile:

Company
Morgan Stanley Pvt Ltdarfix

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