Opportunity Description
Senior Analyst - Model Calibration/Monitoring
Risks Permanent contract Bangalore, India Hybrid Reference WS 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 profitabil...
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