Risk Analytics Specialist
hace 7 días
**Job Summary:**
HSBC is seeking a highly skilled Risk Analytics and Modelling professional to join its team. As a Risk Analytics Specialist, you will be responsible for understanding data and completing data definitions/requirements for the Business Glossary.
**Key Responsibilities:**
- Provide a data lineage view to discover the data flow/movement from its source to destination via various changes.
- Analyze and develop risk strategy, including back testing analysis, swap set, simulation vintages, internal and external score matrix, creation of level of risks, approval rate impacts, segmentation, credit line assignment, benchmaking line matrix, final impact calculation, and optimization of MI and process.
- Meet agreed deadlines, communicate technical information to Senior Management, support change initiatives, identify and escalate issues/concerns, and be prepared to work with innovative tools such as Cloud and quantum computing.
- Advise on change activities involving data sources, affecting data processes, or impacting data service provision; maintain good relations with external and internal customers through effective service and communication.
- Follow up on the implementation of risk processes in business units, attend activities related to Model governance and model performance tracking, and monitor and inform Senior Management about any deviation of the models, proposed actions, or remediation plans in coordination with the RBWM Risk team.
- Support business areas, assisting and directing the actions of portfolios regarding the management and use of statistical models, maintain good relations with internal customers through effective service and communication, and control models risk, ensuring they are in compliance with all regulations and their residual risk is in line with the Risk Appetite.
- Develop innovative analytical solutions to improve model governance, reporting, and customer risk management, operate efficiently and effectively processes related to data preparation and manipulation, model development, and report generation, aiming to facilitate the outputs interpretation.
**Requirements:**
- Desirable Bachelor's degree in Risk Management, Applied Mathematics, Finance, or Economics, Actuarial Sciences, engineering, Management, or Business Administration.
- Personal financial services and consumer finance experience.
- Experience in financial measures and accountability.
- English skills: basic, intermediate.
- Analytical skills and decision-making abilities.
- Desirable knowledge in programming language (SAS, Python, etc).
**Additional Requirements:**
- Planning, organisation skills, negotiation skills, ability to influence people, and effective communication.
- Numerical skills and the ability to evaluate costs.
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