Banking Model Risk and Analytics Specialist

UBS

  • Mumbai, Maharashtra
  • Permanent
  • Part-time
  • 1 month ago
Business DivisionsGlobal Wealth ManagementYour roleWe're looking for a risk governance specialist to:
  • assist with the implementation of the 1st line model risk governance process including collaboration with 1st and 2nd line model owners, model sponsors, model validation team and governance peers to ensure Bank model inventory reflects accurate information
  • Prepare written and verbal updates for use with committees, regulators and senior management
  • Support the remediation and closure of issues and inquiries from regulators, audit and self-identified issues
  • Assist with periodic and ad-hoc data analytics and reporting
Function CategoryBusiness management, administration and supportJoin usAt UBS, we embrace flexible ways of working when the role permits. We offer different working arrangements like part-time, job-sharing and hybrid (office and home) working. Our purpose-led culture and global infrastructure help us connect, collaborate, and work together in agile ways to meet all our business needs.From gaining new experiences in different roles to acquiring fresh knowledge and skills, we know that great work is never done alone. We know that it's our people, with their unique backgrounds, skills, experience levels and interests, who drive our ongoing success. Together we're more than ourselves. Ready to be part of #teamUBS and make an impact?Your teamYou will be working in 1st line Model Risk oversight function within the Banking CCAR and Deposits Risk and Control team. Our role is to evaluate the appropriateness of local model sponsor, monitor changes to Bank's model inventory, coordinate periodic and annual model inventory attestations, provide reporting to Bank model risk committee and other stakeholders. In addition, the team oversees the execution of annual CCAR and quarterly ICAAP execution and Deposits product 1st line risk management. Diversity helps us grow, together. That's why we are committed to fostering and advancing diversity, equity, and inclusion. It strengthens our business and brings value to our clients.Your expertiseYou will have:
  • Bachelor's Degree in a related field of Economics/Finance/Statistics ,
  • 5-8 years of experience in risk management / risk governance, model risk management, audit or regulatory affairs with demonstrated background in applying risk and controls. Experience with CCAR requirements and process would be a plus.
  • understanding of FRB's Supervisory Guidance on MRM SR11-7 and 15-18 / 15-19
  • proficiency in the use of Microsoft Office suite with advanced experience in Excel, PowerPoint and Teams.
  • advanced data skills, including data visualization, data cleaning, SQL. R and Macros/automation is a plus
  • . Excellent written and verbal communication skills, with experience developing and presenting clear, succinct executive-level communications. Aptitude for (re-)writing by simplifying complex content such that independent 3rd parties can understand the topics
  • comfortable with and demonstrated experience in engaging and presenting to different audiences and levels including senior management, audit and regulators.
strong organizational skills and high-level of attention to detail, with sense of urgency to meet strict deadlines.
  • excellent interpersonal skills / knows how to work across teams, management levels and in global environment.
About usUBS is the world's largest and the only truly global wealth manager. We operate through four business divisions: Global Wealth Management, Personal & Corporate Banking, Asset Management and the Investment Bank. Our global reach and the breadth of our expertise set us apart from our competitors..We have a presence in all major financial centers in more than 50 countries.How we hireThis role requires an assessment on application. Learn more about how we hire: www.ubs.com/global/en/careers/experienced-professionals.html

UBS