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Market Risk Business Analyst

Solytics Partners

Delhi, India (+1 other)

Full Time2-5 yearsMarket Risk

Posted 25 April 2026

Job description

About Us : Solytics Partners is a Global Analytics firm, recognized with multiple industry awards for innovation and excellence. Our team comprises experts with deep domain knowledge in risk, analytics, AI / ML, AML / FCC, and fraud. By converging this expertise with cutting-edge technologies like AI, Machine Learning, Generative AI, and Large Language Models (LLMs), we deliver powerful automated platforms and incisive point solutions. Our offerings enable clients to streamline and future-proof their risk, AML, and analytics processes, comply seamlessly with global regulations, and safeguard financial systems. Whether it’s solving complex challenges or driving operational efficiency, Solytics Partners is committed to empowering organizations with transformative tools to stay ahead in an evolving regulatory landscape. Job Summary : We are looking for a Business Analyst with experience in Market Risk to support risk transformation and reporting initiatives within the bank. The role will act as a bridge between business stakeholders (Risk, Front Office) and technology teams to deliver robust risk analytics, reporting, and regulatory solutions. The candidate should have a strong understanding of market risk concepts along with experience in business analysis, data handling, and stakeholder management. Key Responsibilities : Gather, analyze, and document business requirements for Market Risk initiatives including reporting, analytics, and regulatory changes Act as a liaison between business users (Risk, Front Office) and technology teams to translate requirements into functional specifications Support implementation and enhancement of Market Risk systems, infrastructure, and reporting tools Work on risk metrics such as VaR, sensitivities, stress testing, and P&L explain across asset classes Analyze large datasets and perform data validation, reconciliation, and quality checks for risk reporting Assist in regulatory reporting and compliance initiatives (e.g., Basel III / FRTB) Create detailed documentation including BRDs, FRDs, user stories, and test cases Collaborate with global stakeholders to drive project delivery and ensure alignment with business objectives Support UAT testing, defect tracking, and implementation of solutions Identify opportunities for process improvements and automation (Excel, SQL, VBA, etc.) Key Requirements : 2–5 years of experience as a Business Analyst in Market Risk / Risk Management / Capital Markets Strong understanding of Market Risk concepts : VaR, Stress Testing, Sensitivities, Greeks, PnL Exposure to regulatory frameworks such as Basel III, FRTB, BCBS 239 is preferred Experience in requirement gathering, stakeholder management, and documentation Good data analysis skills with hands-on experience in SQL and Excel (VBA is a plus) Familiarity with risk systems, data warehouses, or reporting platforms Strong communication skills with ability to interact with global stakeholders Problem-solving mindset with attention to detail Good to have : Exposure to asset classes : Fixed Income, FX, Equities, Derivatives Experience working in global banking environments Knowledge of BI tools (Tableau, Power BI, etc.) Certifications like FRM / CFA (preferred but not mandatory)