We are looking for a talented and experienced full-stack developer skilled in Python for one of our global Investment Banking Client.
Job Details:
- Job Title:
- Software Developer | Lead Analyst:- Python Market Risk
- Location:
- Pune SEZ 1, Pune, Maharashtra, India
- Department:
- TR-Analytics and Technology
- Job posted on:
- Aug 11, 2022
- Employee Type:
- Permanent
- Experience range:
- 8 years - 13 years
Job Duties
- Work within an Agile team, writing technical specifications, development of new code and maintaining existing code for the bank’s controls function.
- Primary task would be to help the bank design and enhance the reconciliations & controls infrastructure right from design to development and testing.
- Business analysis and coordination with various stakeholders across functions to understand the requirements.
- Responsible for supporting modern agile software development methods and supporting other team members.
- Work closely with development teams across the globe for achieving the target outcomes.
Qualification
Master in Computer Science/software engineering. Any other relevant certifications is desirable
Skills Required
- Excellent hands-on application development experience on Python for a minimum of 2 years & knowledge of Quartz/Athena/SecDB framework is preferred
- Experience & knowledge of SQL .
- Excellent Analytical skills & experience working on different analytical tools is desirable
- Experience on participating in end-to-end development lifecycle in a rigorous test driven software development environment
- Experience of Agile software development process is desirable
- Experience on developing and delivering scalable applications
- Excellent communication skills
About CRISIL GR&A:
CRISIL Global Research & Analytics (GR&A) is the largest and top-ranked provider of high end research and analytics services to the world's leading commercial and investment banks, insurance companies, corporations, consulting firms, private equity firms and asset management firms.
CRISIL GR&A operates from centres in Argentina, China, India and Poland, providing support across several time zones and in multiple languages to global organizations. It has deep expertise in the areas of equity and fixed income research (covering global economies, 150 global sectors and over 3000 global companies), credit analysis, exotic derivatives valuation, structured finance, risk modelling and management, actuarial analysis and business intelligence.

