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Risk Analyst

Raj Bhavan Haryana, India

Job Role: Product Manager

Experience: 7+Years

Mode: Remote

Mandatory skills: Risk assessment ,Operation Risk,ISO 31000, BCBS 239, Project Management

Required Skills & Qualifications :

  • 7–10+ years in Product Management or Business Analysis building risk / GRC / financial services products.
  • Industry experience in risk assessment (financial services, commodities, insurance).
  • Proven ownership across the full product lifecycle (strategy → discovery → delivery → launch → iterate).
  • Deep familiarity with risk-management concepts, including operational risk (RCSA, KRI/KCI, loss events, issues/actions, risk appetite).
  • Experience aligning products to frameworks such as ISO 31000, BCBS 239, the three lines of defence, COSO, and data/privacy/security standards (ISO 27001/27701, PDPA/GDPR).
  • Strong Agile delivery (Scrum/Kanban/SAFe) and backlog management; outcome-driven prioritisation.
  • Ability to turn complex risk requirements into simple, testable stories and flows.
  • Excellent stakeholder management across risk, compliance, and engineering.
  • Strong understanding of digital products, customer journeys, UX principles, and datadriven decision-making.
  • Strong organizational and prioritization skills, able to balance short-term needs with long term strategy.

Key Responsibilities:

  • Vision & roadmap: Define and communicate the product vision and roadmap for our risk modules, aligned to regulatory expectations.
  • Risk management principles (ISO 31000): Articulate purpose, risk criteria, appetite/tolerances, and governance; design audit-ready processes.
  • Risk problem framing: Use research, data, and risk insights to translate operational/model/climate (ESG) risk disciplines into clear, detailed requirements.
  • Controls & effectiveness (CER): Map real-world controls to a Control Effectiveness Rating; design testing/attestation so evidence updates CER over time.
  • Scoring logic: Define and maintain thresholds, banding, and decision rules for Inherent Risk → Residual Risk.
  • Model design & calibration: Apply best-practice risk-model methodologies; define features, weights, and normalisation; run back-tests and sensitivity analysis; set cutoffs; monitor drift; document assumptions and data lineage.
  • Stakeholder communications: Proactively communicate progress, risks, and tradeoffs across UK / Singapore / India time zones with concise, data-driven updates.

Job Types: Full-time, Permanent

Pay: ₹1,500,000.00 - ₹1,900,000.00 per year

Benefits:

  • Flexible schedule
  • Paid sick time

Application Question(s):

  • What is your Current CTC?
  • What is your Notice Period?

Experience:

  • Product management: 7 years (Preferred)
  • Operational risk management, Risk Assessment: 7 years (Preferred)
  • Team management, US Client Work: 4 years (Preferred)
  • Regulatory & governance alignmen: 4 years (Preferred)
  • ISO 27001/27701, PDPA/GDPR): 5 years (Preferred)

Work Location: In person

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