Job Overview
Category
Financial Specialists
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Job Description
Responsibilities
Data Collation & StructuringAggregate risk, finance, and business data from multiple subsidiaries (banks and non-banks), including PDFs, Excel files, and raw datasets.Identify and resolve data gaps by coordinating with local teams to ensure completeness and consistency.Develop mapping logic to standardize key data fields (e.g., portfolio, origination, delinquency, collections). Data Governance & StandardizationBuild and maintain a structured database or data mart to support regional oversight.Define and manage a data dictionary and quality rules for core metrics.Ensure proper version control, lineage tracking, and documentation for all datasets. Reporting & InsightsProduce monthly and quarterly dashboards covering portfolio health, credit cost trends, performance deviations, and early warning indicators.Prepare executive summaries and risk commentaries for senior leadership.Contribute to thematic risk reviews and Board-level presentation materials. Analytical SupportConduct deep-dive analyses on emerging risks, product trends, and partner/channel performance.Support credit cost forecasting validation and profitability sensitivity assessments.Prepare data packs for risk appetite and stress testing exercises. Coordination & CommunicationLiaise with AGMD, India Division, and MF risk/MIS teams to clarify data definitions and resolve issues.Serve as the central point of contact for data submissions and analytical requests.Maintain a tracker for data requests and ensure timely updates to management. Job Requirements
Bachelor’s degree in Data Analytics, Finance, Risk Management, Information Systems, or related field.Minimum 5 years of experience in data management, MIS reporting, or risk analytics, preferably in financial services or consulting.Proficiency in Excel, PowerPoint, and data tools (e.g., SQL, Power BI, Tableau); Python or R is a plus.Experience managing cross-border or multi-entity data reporting.Strong ability to work with unstructured and non-standard datasets.Excellent analytical, communication, and stakeholder engagement skills.Detail-oriented, proactive, and capable of managing multiple priorities independently.Familiarity with banking and non-bank financial products (e.g., unsecured loans, SME lending, auto finance).Understanding of regulatory reporting, risk appetite frameworks, and credit performance metrics.High cultural agility and awareness of emerging market dynamics.Comfortable working in matrix organizations and across time zones.
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