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Risk Analyst

Nomura · mumbai, IN
FinanceBanking/Financemarket riskquantitative analysispythonsqlportfolio analysisrisk reporting

We are seeking a Risk Analyst to join our Market Risk - Portfolio and Model Management group. The role involves analyzing market risk model methodologies, supporting model development, and conducting portfolio analysis. Candidates should have 1 to 3 years of relevant experience and programming skills in Python, SQL, or R are preferred.

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