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Analyst, Counterparty Credit Risk Management
About the role
Global Banking and Markets Risk Governance Counterparty Credit Risk Management team at Goldman Sachs safeguards the firm’s exposure to client trading relationships. The Analyst expands capabilities to manage stressed counterparty scenarios, conducts credit limit monitoring, stress testing, and risk exposure analysis across swaps, options, forwards and repos. Works on strategic initiatives and document negotiations while collaborating with cross‑divisional project teams. Bengaluru, India, on‑site.
What you’ll do
- Manage product risk including credit limit and settlement monitoring
- Engage in document negotiation for trading agreements
- Design strategies for macro market changes and implement initiatives
- Analyze and report credit exposures across derivatives
- Identify and escalate risk exposures exceeding firm appetite
- Identify process improvement opportunities and develop controls
What you’ll bring
- 1-2 years analytical financial experience
- Knowledge of derivatives products
- Strong analytical and quantitative skills
- Excellent written and verbal communication
- Strong organizational skills