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Keywords: Quantitative Risk Management, Location: Mumbai, Maharashtra

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Quantitative Risk Management

Quantitative Risk Management Officer This job conducts independent validations of mathematical and statistical models.... This job contributes to quantitative risk management strategy implementation Key Responsibilities and Duties Implements quantitative...

Company: TIAA
Posted Date: 05 Feb 2026

VP - Balance Sheet Management (Quantitative research/modelling) (Open)

with other finance functions, businesses and risk management. Responsibilities: Be a lead analyst to support to the implementation... function, regulators, senior management and Non-Traded Market Risk governance committees. Provides advice and counsel related...

Company: Citigroup
Posted Date: 30 Jan 2026

Wholesale Credit Quantitative Research - Analyst

Job Category: Risk Analytics/Modeling Job Description: As a Quantitative Research Wholesale Credit Risk Modeling... Analyst within the Wholesale Credit team, you will design, analyze, and deliver quantitative models to support the firm...

Company: JPMorgan Chase
Posted Date: 06 Feb 2026

Quantitative Research Analyst - Investment Solutions

analytics and suitability risk management. Leverage your quantitative expertise to develop innovative models and analytical... in portfolio risk analytics and asset management. Apply strong quantitative modeling and time series analysis skills. Exhibit...

Company: JPMorgan Chase
Posted Date: 06 Feb 2026

Senior Quantitative Developer

, and developers to help build, scale, and optimize the infrastructure that powers quantitative research and investment management...Position: Senior Quantitative Developer - Systematic Strategies Location: Navi Mumbai or Delhi Shift: UK The Role...

Company: Morningstar
Posted Date: 18 Jan 2026

AVP Quantitative Analytics CCR Modeler

Join us as an Assistant Vice President - QA - Counterparty Credit Risk at Barclays Quantitative Analytics Team... conformance to all Barclays Enterprise Risk Management Policies, particularly Model Risk Policy. Ensure all development...

Company: Barclays
Posted Date: 11 Jan 2026

Quantitative Analyst AVP - Treasury

conformance to all Barclays Enterprise Risk Management Policies, particularly Model Risk Policy. Ensure all development...Join us as a Quantitative Analyst AVP- Treasury t Barclays, where you'll spearhead the evolution of our digital...

Company: Barclays
Posted Date: 08 Jan 2026

Quantitative Analyst

Quantitative Analytics, Quant Research, Calculation Services– Mumbai The Group: Morningstar’s Quantitative Research... is seeking a Quantitative Research where you will execute proprietary research pertaining to building data intensive products...

Company: Morningstar
Posted Date: 06 Dec 2025

Senior Quantitative Analyst

such as equity research, credit research, investment management, risk management, or analytics Bachelor’s degree in quantitative...Morningstar Indexes- Position: Senior Quantitative Analyst – New Product Development – Morningstar Indexes The Area...

Company: Morningstar
Posted Date: 27 Nov 2025

Market Risk Analytics - Credit, Associate, Firm Risk Management

Management division, we advise businesses across the Firm on risk mitigation strategies, develop tools to analyse and monitor... Management, Model Risk Management, Strats, and IT, to fulfil project requirements. What you’ll bring to the role: A master...

Company: Morgan Stanley
Posted Date: 06 Feb 2026

Risk:Risk Data Management - Team

Job Description: RISK DATA MANAGEMENT - TEAM INTERNAL USAGE: No. of Vacancies: Reports to: Is a Team leader? Y/N... department ensures that the Bank�s risk is managed through a risk management architecture as well as through policies...

Company: Axis Bank
Posted Date: 04 Feb 2026

Associate, Specialist, Market & Liquidity Risk, Risk Management Group

testing and analyzing the impact. Use analytical methods for measuring market risk Highlight to senior management areas...Responsible for governance, risk control, reporting of Market risk of the bank. Market Risk governance, policy...

Company: DBS Bank
Posted Date: 04 Feb 2026

Associate, Specialist, Market & Liquidity Risk, Risk Management Group

testing and analyzing the impact. Use analytical methods for measuring market risk Highlight to senior management areas...Responsible for governance, risk control, reporting of Market risk of the bank. Market Risk governance, policy...

Company: DBS Bank
Posted Date: 04 Feb 2026

Associate, Specialist, Market & Liquidity Risk, Risk Management Group

testing and analyzing the impact. Use analytical methods for measuring market risk Highlight to senior management areas...Responsible for governance, risk control, reporting of Market risk of the bank. Market Risk governance, policy...

Company: DBS Bank
Posted Date: 03 Feb 2026

Risk:Enterprise Risk Management - Team

Job Description: ENTERPRISE RISK MANAGEMENT - TEAM INTERNAL USAGE: No. of Vacancies: Reports to: Is a Team leader... The Risk department ensures that the Bank�s risk is managed through a risk management architecture as well as through...

Company: Axis Bank
Posted Date: 27 Jan 2026

Market Risk Analytics – XVA, Associate, FirmRisk Management

We’re seeking someone to join our team as an Associate in Risk Analytics team. In the Firm Risk Management division... Risk Management, Model Risk Management, Strats and IT - to deliver on project requirements. Effectively represent...

Company: Morgan Stanley
Posted Date: 24 Jan 2026

Risk Analytics IMM Counterparty Credit Risk, Analyst/ Associate, Firm Risk Management

Risk Management division, we advise businesses across the Firm on risk mitigation strategies, develop tools to analyze..., enhancement, and documentation of IMM Counterparty credit risk, methodologies, and tools for regulatory and risk management...

Company: Morgan Stanley
Posted Date: 21 Jan 2026

Vice President, Specialist, Model Validation, Risk Management Group

Management Group. The successful candidate will be responsible for independently validating a diverse range of credit risk models...Job Summary: We are seeking a highly motivated and skilled individual to lead the Model Validation function with Risk...

Company: DBS Bank
Posted Date: 16 Jan 2026

Vice President, Specialist, Model Validation, Risk Management Group

Management Group. The successful candidate will be responsible for independently validating a diverse range of credit risk models...Job Summary: We are seeking a highly motivated and skilled individual to lead the Model Validation function with Risk...

Company: DBS Bank
Posted Date: 16 Jan 2026

Vice President, Specialist, Model Validation, Risk Management Group

Management Group. The successful candidate will be responsible for independently validating a diverse range of credit risk models...Job Summary: We are seeking a highly motivated and skilled individual to lead the Model Validation function with Risk...

Company: DBS Bank
Posted Date: 16 Jan 2026