Job Title : Senior Risk Data Engineer / Risk Management Data Analyst
Location : Toronto, ON - Canada
Responsibilities :
- Know pandas and Python ( Important & Mandatory)
- Strong technical skills (working with SQL, data handling, data mapping)
- Should have worked on ESG and Climate risk projects in the Banking sector, especially on data and technical portions
- Experience writing technical specifications
- Leading UAT and BA activities in a program
- Experience in Greenhouse gas ( physics or chemistry) BioTech ? Science Skill (academic qualification which is highly desired but not mandatory)
Must have
- Experience working on projects (Agile methodologies) related to pricing / risk and Market and Credit / Counterparty data for Risk engines
- Relevant Risk experience : Modeling of different product types including Bonds, Equity, FX, etc. for Market and Counterparty Credit Risk exposures
- Understanding of financial Instruments including several types - Rates Derivatives, Credit Derivatives, Equity Derivatives FX Options & FX Cash, and their valuation;
Exposure to Banking Loan Books and other products
- Knowledge of market and counterparty risk management is useful
- 10+ years of previous work experience as a Business or Data Analyst, or in a technical / functional Role
- Documentation skills the ability to succinctly articulate requirements, summarize data analysis, and present to business users and the development team
- Use of Python, Anaconda, Pandas, Jupyter, Linux, Hadoop, Hive, Spark, and other big data technologies
- Strong data analysis skills are required including analyzing large data sets in using SQL queries and other modeling tools
- Producing and using Data Catalogues, understanding data models, and business process modeling
- Experience building enterprise-scale applications involving large data volumes and computations
- Bachelor’s degree in Science, Information Technology, Computer Science or other quantitative discipline
Nice to Have
- Good understanding of Climate Risk Initiatives, Environmental, Social, and Governance investment policies & framework for financial institutions
- Professional risk / finance certifications (. FRM, PRM, CFA)
Il y a plus de 30 jours