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Sr Manager, Senior Risk AnalystRisk Management Stress Testing

ExperiencedNo visa sponsorship

Posted 8 days ago

No clicks

This employer did not include a short summary.

Compensation
Not specified

Currency: Not specified

City
Bengaluru
Country
India

Full Job Description

Sr Manager, Senior Risk AnalystRisk Management Stress Testing

Creating a better online experience with cookies. We care about your experience online, thats why we use cookies to make sure our website runs smoothly while personalising your visit for your ease of use and convenience. To choose what cookies you want to accept, select Manage cookies. To accept all cookies for the best possible experience, select Accept all. If youd like to learn more about how we use cookies and to manage your selection, visit our Cookie Policy

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Job Details

Sr Manager, Senior Risk AnalystRisk Management Stress Testing
Job Description
Apply now
Requisition Number:  60822
Job Location:  Bangalore, IND
Global Grade:  Band 6
Work Type:  Office Working
Employment Type:  Fixed Term Worker
Posting Start Date:  20/08/2026
Posting End Date:  21/09/2026
Job Description: 

Job Summary

The role is responsible for developing and supporting portfolio analytics, stress testing analysis and senior management reporting for the Financial Sponsors and Private Credit portfolios. The role holder will help build analytical capability to assess portfolio risk, emerging vulnerabilities, credit quality, concentrations and scenario impacts across Financial Sponsors, Private Equity and Private Credit exposures.

The successful candidate should bring strong analytical, credit risk and data skills, with experience in portfolio analytics, stress testing, risk appetite reporting or credit risk analysis. The role requires someone who can combine technical analysis with clear management communication, ensuring that outputs are suitable for committees, senior stakeholders and portfolio decision-making.

This is a contract role till December 2027. 

Key Responsibilities

Strategy
   Support the development of enhanced analytics and stress testing capability for Financial Sponsors, Private Equity and Private Credit portfolios.
   Help connect BAU risk reporting, risk appetite, portfolio analytics and stress testing into a more integrated view of portfolio risk.
   Identify analytical approaches that improve visibility of concentrations, vulnerabilities, credit migration risk and scenario sensitivity.
   Support the build-out of repeatable analytical frameworks for senior management and committee reporting.

Business
   Develop portfolio analytics to explain exposure movements, concentrations, credit quality trends, rating migration, risk appetite usage and emerging risks.
   Support stress testing analysis for Financial Sponsors and Private Credit portfolios, including scenario design input, data preparation, impact analysis and management commentary.
   Prepare analytical outputs and commentary for senior stakeholders, committees and risk forums.
   Respond to stakeholder queries on portfolio trends, stress testing outputs, risk appetite metrics and analytical findings

Processes
   Use Python, Excel and analytical tools to build repeatable analytics and stress testing processes.
   Support data preparation, validation, transformation and reconciliation for portfolio analytics and stress testing.
   Improve the efficiency and control of recurring analytical processes through automation, documentation and standardised templates.
   Work with reporting, data and change teams to embed analytical outputs into regular management reporting.

Risk Management
   Analyse portfolio risks across Financial Sponsors, Private Credit and related CIB exposures, including concentration risk, leverage sensitivity, refinancing risk, credit deterioration and sector vulnerability.
   Support assessment of forward-looking risks using stress testing, sensitivity analysis and portfolio segmentation.
   Apply review and challenge to analytical outputs to ensure results are explainable, robust and aligned to the underlying portfolio profile.
   Help translate technical analysis into clear management insight and actionable escalation points.

Governance
   Maintain documentation of analytical methodologies, assumptions, data sources, calculations and limitations.
   Ensure stress testing and analytical outputs are appropriately controlled, evidenced and suitable for senior management use.
   Support governance requirements for committee reporting, audit review, issue resolution and methodology enhancement.

Regulatory & Business Conduct
   Display exemplary conduct and live by the Groups Values and Code of Conduct.
   Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct, across Standard Chartered Bank. This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct.
   Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters.

Key stakeholders
   CIB Risk Reporting and Portfolio Analytics
   Financial Sponsors and Private Credit Risk teams
   Stress Testing teams
   Risk Appetite teams
   CIB Credit
   CPM
   Risk and CFCC Data Strategy
   Risk and CFCC Change
   Technology
   Group Finance
   Country CROs

Skills and Experience

   Python and data analytics for risk reporting automation
   Stress Testing and Portfolio Analytics
   Dashboard design and management reporting visualisation
   CIB Credit Risk knowledge
   Risk appetite, risk reporting and stress testing integration
   Reporting transformation and sustainable BAU delivery under pressure
   Financial Sponsor and Private Equity and Leverage Lending

Qualifications

   Bachelors or Masters degree in quantitative finance, economics, risk management, statistics, mathematics, computer science or related field.
   5 to 7 years experience in credit risk analytics, portfolio analytics, stress testing, risk appetite reporting, credit risk reporting or related financial institution risk roles.
   Strong analytical skills, with ability to interpret portfolio trends, credit quality movements, concentration risk and scenario impacts.
   Experience in stress testing, sensitivity analysis, portfolio segmentation or forward-looking credit risk analysis is strongly preferred.
   Familiarity with Financial Sponsors, Private Equity, leveraged finance or Private Credit portfolios is advantageous.
   Strong Python and Excel capability for analytics, data preparation and automation.
   Understanding of key credit risk metrics, including exposure, credit grade, default risk, RWA, ECL, risk appetite and concentration measures.
   Ability to produce clear, concise and senior management-ready commentary.
   Strong control mindset, with ability to document assumptions, limitations and analytical methodology.
   Ability to work under pressure and deliver high-quality outputs for committees and senior stakeholders.

About Standard Chartered

We're an international bank, nimble enough to act, big enough for impact. For more than 170 years, we've worked to make a positive difference for our clients, communities, and each other. We question the status quo, love a challenge and enjoy finding new opportunities to grow and do better than before. If you're looking for a career with purpose and you want to work for a bank making a difference, we want to hear from you. You can count on us to celebrate your unique talents and we can't wait to see the talents you can bring us.

Our purpose, to drive commerce and prosperity through our unique diversity, together with our brand promise, to be here for good are achieved by how we each live our valued behaviours. When you work with us, you'll see how we value difference and advocate inclusion.

Together we:

  • Do the right thing and are assertive, challenge one another, and live with integrity, while putting the client at the heart of what we do
  • Never settle, continuously striving to improve and innovate, keeping things simple and learning from doing well, and not so well
  • Are better together, we can be ourselves, be inclusive, see more good in others, and work collectively to build for the long term

What we offer

In line with our Fair Pay Charter, we offer a competitive salary and benefits to support your mental, physical, financial and social wellbeing.

  • Core bank funding for retirement savings, medical and life insurance, with flexible and voluntary benefits available in some locations.
  • Time-off including annual leave, parental/maternity (20 weeks), sabbatical (12 months maximum) and volunteering leave (3 days), along with minimum global standards for annual and public holiday, which is combined to 30 days minimum.
  • Flexible working options based around home and office locations, with flexible working patterns.
  • Proactive wellbeing support through Unmind, a market-leading digital wellbeing platform, development courses for resilience and other human skills, global Employee Assistance Programme, sick leave, mental health first-aiders and all sorts of self-help toolkits
  • A continuous learning culture to support your growth, with opportunities to reskill and upskill and access to physical, virtual and digital learning.
  • Being part of an inclusive and values driven organisation, one that embraces and celebrates our unique diversity, across our teams, business functions and geographies - everyone feels respected and can realise their full potential.
Apply now
Information at a Glance

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Sr Manager, Senior Risk AnalystRisk Management Stress Testing

Compensation

Not specified

City: Bengaluru

Country: India

Standard Chartered Corporate & Investment Banking logo
Investment Banking

8 days ago

No clicks

at Standard Chartered Corporate & Investment Banking

ExperiencedNo visa sponsorship

This employer did not include a short summary.

Full Job Description

Sr Manager, Senior Risk AnalystRisk Management Stress Testing

Creating a better online experience with cookies. We care about your experience online, thats why we use cookies to make sure our website runs smoothly while personalising your visit for your ease of use and convenience. To choose what cookies you want to accept, select Manage cookies. To accept all cookies for the best possible experience, select Accept all. If youd like to learn more about how we use cookies and to manage your selection, visit our Cookie Policy

Manage Cookies
Reject All
Accept All
Search Jobs
Job Alerts Link

Job Details

Sr Manager, Senior Risk AnalystRisk Management Stress Testing
Job Description
Apply now
Requisition Number:  60822
Job Location:  Bangalore, IND
Global Grade:  Band 6
Work Type:  Office Working
Employment Type:  Fixed Term Worker
Posting Start Date:  20/08/2026
Posting End Date:  21/09/2026
Job Description: 

Job Summary

The role is responsible for developing and supporting portfolio analytics, stress testing analysis and senior management reporting for the Financial Sponsors and Private Credit portfolios. The role holder will help build analytical capability to assess portfolio risk, emerging vulnerabilities, credit quality, concentrations and scenario impacts across Financial Sponsors, Private Equity and Private Credit exposures.

The successful candidate should bring strong analytical, credit risk and data skills, with experience in portfolio analytics, stress testing, risk appetite reporting or credit risk analysis. The role requires someone who can combine technical analysis with clear management communication, ensuring that outputs are suitable for committees, senior stakeholders and portfolio decision-making.

This is a contract role till December 2027. 

Key Responsibilities

Strategy
   Support the development of enhanced analytics and stress testing capability for Financial Sponsors, Private Equity and Private Credit portfolios.
   Help connect BAU risk reporting, risk appetite, portfolio analytics and stress testing into a more integrated view of portfolio risk.
   Identify analytical approaches that improve visibility of concentrations, vulnerabilities, credit migration risk and scenario sensitivity.
   Support the build-out of repeatable analytical frameworks for senior management and committee reporting.

Business
   Develop portfolio analytics to explain exposure movements, concentrations, credit quality trends, rating migration, risk appetite usage and emerging risks.
   Support stress testing analysis for Financial Sponsors and Private Credit portfolios, including scenario design input, data preparation, impact analysis and management commentary.
   Prepare analytical outputs and commentary for senior stakeholders, committees and risk forums.
   Respond to stakeholder queries on portfolio trends, stress testing outputs, risk appetite metrics and analytical findings

Processes
   Use Python, Excel and analytical tools to build repeatable analytics and stress testing processes.
   Support data preparation, validation, transformation and reconciliation for portfolio analytics and stress testing.
   Improve the efficiency and control of recurring analytical processes through automation, documentation and standardised templates.
   Work with reporting, data and change teams to embed analytical outputs into regular management reporting.

Risk Management
   Analyse portfolio risks across Financial Sponsors, Private Credit and related CIB exposures, including concentration risk, leverage sensitivity, refinancing risk, credit deterioration and sector vulnerability.
   Support assessment of forward-looking risks using stress testing, sensitivity analysis and portfolio segmentation.
   Apply review and challenge to analytical outputs to ensure results are explainable, robust and aligned to the underlying portfolio profile.
   Help translate technical analysis into clear management insight and actionable escalation points.

Governance
   Maintain documentation of analytical methodologies, assumptions, data sources, calculations and limitations.
   Ensure stress testing and analytical outputs are appropriately controlled, evidenced and suitable for senior management use.
   Support governance requirements for committee reporting, audit review, issue resolution and methodology enhancement.

Regulatory & Business Conduct
   Display exemplary conduct and live by the Groups Values and Code of Conduct.
   Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct, across Standard Chartered Bank. This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct.
   Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters.

Key stakeholders
   CIB Risk Reporting and Portfolio Analytics
   Financial Sponsors and Private Credit Risk teams
   Stress Testing teams
   Risk Appetite teams
   CIB Credit
   CPM
   Risk and CFCC Data Strategy
   Risk and CFCC Change
   Technology
   Group Finance
   Country CROs

Skills and Experience

   Python and data analytics for risk reporting automation
   Stress Testing and Portfolio Analytics
   Dashboard design and management reporting visualisation
   CIB Credit Risk knowledge
   Risk appetite, risk reporting and stress testing integration
   Reporting transformation and sustainable BAU delivery under pressure
   Financial Sponsor and Private Equity and Leverage Lending

Qualifications

   Bachelors or Masters degree in quantitative finance, economics, risk management, statistics, mathematics, computer science or related field.
   5 to 7 years experience in credit risk analytics, portfolio analytics, stress testing, risk appetite reporting, credit risk reporting or related financial institution risk roles.
   Strong analytical skills, with ability to interpret portfolio trends, credit quality movements, concentration risk and scenario impacts.
   Experience in stress testing, sensitivity analysis, portfolio segmentation or forward-looking credit risk analysis is strongly preferred.
   Familiarity with Financial Sponsors, Private Equity, leveraged finance or Private Credit portfolios is advantageous.
   Strong Python and Excel capability for analytics, data preparation and automation.
   Understanding of key credit risk metrics, including exposure, credit grade, default risk, RWA, ECL, risk appetite and concentration measures.
   Ability to produce clear, concise and senior management-ready commentary.
   Strong control mindset, with ability to document assumptions, limitations and analytical methodology.
   Ability to work under pressure and deliver high-quality outputs for committees and senior stakeholders.

About Standard Chartered

We're an international bank, nimble enough to act, big enough for impact. For more than 170 years, we've worked to make a positive difference for our clients, communities, and each other. We question the status quo, love a challenge and enjoy finding new opportunities to grow and do better than before. If you're looking for a career with purpose and you want to work for a bank making a difference, we want to hear from you. You can count on us to celebrate your unique talents and we can't wait to see the talents you can bring us.

Our purpose, to drive commerce and prosperity through our unique diversity, together with our brand promise, to be here for good are achieved by how we each live our valued behaviours. When you work with us, you'll see how we value difference and advocate inclusion.

Together we:

  • Do the right thing and are assertive, challenge one another, and live with integrity, while putting the client at the heart of what we do
  • Never settle, continuously striving to improve and innovate, keeping things simple and learning from doing well, and not so well
  • Are better together, we can be ourselves, be inclusive, see more good in others, and work collectively to build for the long term

What we offer

In line with our Fair Pay Charter, we offer a competitive salary and benefits to support your mental, physical, financial and social wellbeing.

  • Core bank funding for retirement savings, medical and life insurance, with flexible and voluntary benefits available in some locations.
  • Time-off including annual leave, parental/maternity (20 weeks), sabbatical (12 months maximum) and volunteering leave (3 days), along with minimum global standards for annual and public holiday, which is combined to 30 days minimum.
  • Flexible working options based around home and office locations, with flexible working patterns.
  • Proactive wellbeing support through Unmind, a market-leading digital wellbeing platform, development courses for resilience and other human skills, global Employee Assistance Programme, sick leave, mental health first-aiders and all sorts of self-help toolkits
  • A continuous learning culture to support your growth, with opportunities to reskill and upskill and access to physical, virtual and digital learning.
  • Being part of an inclusive and values driven organisation, one that embraces and celebrates our unique diversity, across our teams, business functions and geographies - everyone feels respected and can realise their full potential.
Apply now
Information at a Glance

Similar Jobs

Associate Director, Business Risk Management WRB SG
Singapore, SGP
Operations
Requisition Number61106
Singapore
Sr Manager, Senior Data Analyst
Bangalore, IND
Governance, Risk Management & Compliance
Requisition Number60823
India
Senior Manager, Analytics & Automation
Chennai, IND
Technology
Requisition Number60839
India
Sr Manager, Sr Reporting Analyst
Bangalore, IND
Governance, Risk Management & Compliance
Requisition Number60821
India
Job Skills
Key Skills
Business Analytics Applications
Knowledge of Finance
Analytical Thinking
Portfolio Management
Relevant Skills
Decision Making Skills
Information Technology
Elearning
Technical Analysis
Knowledge of Mathematics
Risk Management
Credit Risks
Visualization
Data Cleansing
Self Motivation
Vulnerability
Risk Appetite
Mental Health
Scenario Design
Private Debt
Private Equity
Microsoft Excel
Sensitivity Analysis
Innovation
Calculations
Mathematical Finance
Geography
Dashboards
Continuous Training
Refinancing
Data Strategy
Economy
Technology Risk
Risk Analysis
Auditing Skills
Communication Skills
Python (Programming Language)
Data Analysis
Management of Stress
Financial Institution
Automation
Perseverance
Operational Reporting
Governance
Knowledge of Statistics
Problem Solving
Data Analytics
Metrics
Impact Analysis
Analytical Procedures
Stress Testing
Assertiveness
More

Skills Matching

Upload Your CV
Use your CV to see how well your skills match up with this job
Get Started