Risk Analyst Job Openings in Mumbai 2026!!!
Morgan Stanley announced job vacancy for the post of Risk Analyst. The place of posting will be at Mumbai. Candidates who have completed Graduate / Engineering / Post Graduate with Fresher / Experience are eligible to apply. More details about qualifications, job description and roles & responsibilities are as follows
Company
Overview
|
Name of the Company |
Morgan Stanley |
|
Required Qualifications |
Graduate / Post Graduate |
|
Skills |
Strong understanding of risk management
concepts |
|
Category |
Capital & Data |
|
Work Type |
Onsite |
They’re
seeking someone to join their team as an Analyst for Risk Data role. In the
Firm Risk Management division, they advise businesses across the Firm on risk
mitigation strategies, develop tools to analyse and monitor risks and lead key
regulatory initiatives. Since 1935, Morgan Stanley is known as a global leader
in financial services, always evolving and innovating to better serve their
clients and our communities in more than 40 countries around the world.
Job Details
Θ Positions: Risk
Analyst
Θ Job
Location:
Mumbai
Θ Salary: As per
company standards
Θ Job Type: Full Time
Θ Requisition
ID: 549795499318
Roles and Responsibilities:
- Contribute towards execution of prioritized data initiatives in compliance with the Global Data Policy and BCBS239 requirements across FRM
- Governing and advising risk coverage teams to identify and document risk data ownership, authority, sourcing, controls and quality; Develop and implement ongoing update, review and control for prioritized risk data
- Identifying and executing and work on areas for improvement in processes related to risk data management
- Liaising with data quality working groups across the Firm on pertinent issues
- Contribute towards data issue management for Firm Risk Management, manage data issues through their full life cycle, from reviewing and logging, to remediation.
- Conduct analysis on large data sets and technology systems to identify the root cause of the risk data quality issues. Perform impact analysis where required.
- Senior management reporting and presentations
Required
Skills & Qualifications:
- Possess Bachelor’s or Master’s degree in Finance, or a related discipline
- 2-3 years of work experience in the financial services industry preferably in risk management, finance, operation or equivalent experience
- Strong understanding of risk management concepts and financial products, particularly with respect to commercial financial market data
- Knowledge and exposure to US, EMEA and UK financial regulations including BCBS 239 and Basel III pertaining to risk data aggregation/reporting is preferred
- The ability to communicate with a wide range of stakeholders effectively and thoughtfully
- Strong organizational and project management skills
- Strong Excel and PowerPoint skills
How to Apply
Apply Link –
Click Here
For Regular
Updates Join our WhatsApp – Click Here
For Regular Updates Join our Telegram – Click Here
Disclaimer:
The
information provided on this page is intended solely for informational purposes
for Students, Freshers & Experience candidates. All the recruitment details
are sourced directly from the official website and pages of the respective
company. Latest MNC Jobs do not guarantee job placement, and the recruitment
process will follow the company’s official rules and Human Resource guidelines.
Latest MNC Jobs do not charge any fees for sharing job information. Latest MNC
Jobs strongly advise Students, Freshers & Experience candidates not to make
any payments for any job opportunities.

0 Comments
Thanks for your comment, Will Reply shortly.