Job Title:  Analyst

Job Code:  13228
Country:  IN
City:  Mumbai
Skill Category:  Risk
Description: 

Nomura Overview:

Nomura is an Asia-headquartered financial services group with an integrated global network spanning over 30 countries. By connecting markets East & West, Nomura services the needs of individuals, institutions, corporates and governments through its four business divisions: Retail, Asset Management, Wholesale (Global Markets and Investment Banking), and Merchant Banking. Founded in 1925, the firm is built on a tradition of disciplined entrepreneurship, serving clients with creative solutions and considered thought leadership. For further information about Nomura, visit www.nomura.com

 

Nomura Services India, (Powai) supports Nomura’s businesses around the world. Powai’ s world class capabilities in trading support, research, information technology, financial control, operations, risk management and legal support have played a key role in facilitating Nomura’s global operations and are an integral part of Nomura’s global expansion plans. The Powai operation is a critical part of the platform to support the growth of Nomura’s global business.

 

Nomura is an equal opportunities employer. We are committed to providing equal opportunities throughout employment including in the recruitment, training and development of employees (including promotion, transfers, assignments and beliefs). We prohibit discrimination in the workplace whether on grounds of gender, marital or domestic partnership status, pregnancy, career’s responsibilities, sexual orientation, gender identity, race, color, national or ethnic origins, religious belief, disability or age. Our objective is to attract job applications and applications for development from the best possible candidates and to retain the best people.

 

Business Unit Overview

Risk Infrastructure (RI)

Risk Infrastructure is responsible for the overall governance and support of the firm’s Financial Risk platform. This includes activities like Input Data Management and Control,  Capital Assurance for Market Risk, Risk Limit Management and Risk Reporting. In addition they assist Risk Managers (RM) in resolving data issues where necessary and take corrective actions. RI also drives data management strategy for Risk and helps develop data architectures that are flexible and scalable to meet new regulatory requirements.

The team ensures relationships between range of reference data, Trade attributes, instrument and transaction data are not broken. Whilst input data is validated; reported data is reconciled.

Drives data management strategy for Risk and helps develop data architectures

Provide ad-hoc risk views and drill down analysis of less transparent risks and issues of

Importance to senior Risk Management/Trading Heads

The candidate must have a strong background in visual data delivery; interactive design and SQL with a passion for re imagine/ design.

Position Specifications:

Corporate Title

Analyst

Functional title

Analyst / Senior Analyst

Experience

1-4yrs

Qualification

BE/B.Tech/ Masters/ MBA in Finance

IT Skills

SQL, Python, Alteryx

 

This is a business plus technical role. Roles and responsibilities are defined below

Job Title: Risk Data Management & Control – Sr Analyst/Associate

Key Responsibilities

  • Data Management & Quality
  • Design and implement data quality frameworks and controls for Market risk data
  • Monitor data quality metrics and create regular reports on data integrity
  • Lead data quality issue resolution and manage escalation processes
  • Develop and maintain data quality dashboards
  • Partner with Market risk teams to understand data requirements
  • Ensure compliance with regulatory data requirements like FRTB, Basel 2.5
  • Maintain data governance standards for Market risk
  • Technical Skills
  • Basic to intermediary knowledge of SQL, Python

Create and Modify Python scripts for complex data transformations and joins

 

 

Skills

 

Mandatory

Desired

Domain

  • 3 to 6 years experience in data management, preferably in financial services
  • Strong understanding of Market  risk concepts and metrics like FRTB, Basel 2.5
  • Experience with ETL processes and data quality management
  • Knowledge of data governance principles
  • Strong problem-solving and analytical skills
  • Strong communication abilities to work with stakeholders
  • Understanding of credit risk principles
  • Problem-solving and analytical thinking
  • Project management capabilities
  • Ability to translate business requirements into technical solutions
  • Knowledge of Basel regulations
    Understanding of BCBS 239 principles

Technical

  • Basic SQL & Python Knowledge. To be able to run or Modify SQL/Python queries
  • Experience in stakeholder management
  • Previous experience in financial services industry
  • Knowledge of regulatory reporting requirements

 

We are committed to providing equal opportunities throughout employment including in the recruitment, training and development of employees. We prohibit discrimination in the workplace whether on grounds of gender, marital or domestic partnership status, pregnancy, carer’s responsibilities, sexual orientation, gender identity, gender expression, race, color, national or ethnic origins, religious belief, disability or age.

 

 

*Applying for this role does not amount to a job offer or create an obligation on Nomura to provide a job offer. The expression "Nomura" refers to Nomura Services India Private Limited together with its affiliates.

 

*The benefits are subject to change and will be in accordance with Company’s policies as may be applicable from time to time).