Barclays PLC Logo

VP - Private Bank & Wealth Management

Barclays PLC

All India, Noida • 1 month ago

Experience: 5 to 9 Yrs

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Job Description

As a VP - Private Bank & Wealth Management at Barclays, you will play a crucial role in overseeing the accurate calculation of regulatory and economic capital, ensuring compliance with external regulations and internal policies. Your primary responsibilities will include: - Calculating RWAs/regulatory capital. - Developing, calibrating, and implementing credit risk models to estimate PD and LGD for different borrower segments and credit products. - Utilizing quantitative models and risk forecasting tools to measure and predict potential credit losses. - Analyzing credit trends, identifying early warning signs of borrower issues, and assessing the impact of economic and market developments on portfolio credit losses and regulatory capital. - Conducting portfolio stress testing exercises to evaluate the impact of economic and market scenarios on regulatory capital. - Managing credit risk data effectively to ensure accuracy, integrity, and timeliness. - Delivering internal/external regulatory reporting related to regulatory capital and impairment. - Calculating economic capital and associated reporting within ICAAP. Additionally, you will be expected to demonstrate leadership qualities, strategic thinking, and technical expertise relevant to risk management. If managing a team, you will define job roles, plan for future department needs, and provide guidance to team members. You will also advise key stakeholders on functional areas of impact and alignment and collaborate with other support areas to align with business strategies. To excel in this role, you should possess the following key qualifications and skills: - Strong forecasting/quantitative analysis capabilities. - Proficiency in programming languages like SAS or Python. - Ability to extract, analyze, and present data independently. - Excellent stakeholder management and communication skills. - Self-driven with strong networking skills. Furthermore, as a Portfolio Risk & Risk Measurement Analyst, some of your key responsibilities will include: - Providing second-line oversight through detailed risk measurement, including impairment and capital oversight. - Conducting portfolio analytics to ensure a clear understanding of risk profile and appropriate risk appetite setting. - Communicating findings and insights to risk committees and stakeholders. - Participating in forecasting/stress testing exercises, both internal and regulatory. Having an understanding of credit risk, control frameworks, and governance practices will be highly valued in this role. You may also be assessed on critical skills such as risk and controls, change management, strategic thinking, and digital/technology proficiency. This transformative role is based out of the Noida office, offering you the opportunity to lead the evolution of the digital landscape in Private Bank & Wealth Management at Barclays. As a VP - Private Bank & Wealth Management at Barclays, you will play a crucial role in overseeing the accurate calculation of regulatory and economic capital, ensuring compliance with external regulations and internal policies. Your primary responsibilities will include: - Calculating RWAs/regulatory capital. - Developing, calibrating, and implementing credit risk models to estimate PD and LGD for different borrower segments and credit products. - Utilizing quantitative models and risk forecasting tools to measure and predict potential credit losses. - Analyzing credit trends, identifying early warning signs of borrower issues, and assessing the impact of economic and market developments on portfolio credit losses and regulatory capital. - Conducting portfolio stress testing exercises to evaluate the impact of economic and market scenarios on regulatory capital. - Managing credit risk data effectively to ensure accuracy, integrity, and timeliness. - Delivering internal/external regulatory reporting related to regulatory capital and impairment. - Calculating economic capital and associated reporting within ICAAP. Additionally, you will be expected to demonstrate leadership qualities, strategic thinking, and technical expertise relevant to risk management. If managing a team, you will define job roles, plan for future department needs, and provide guidance to team members. You will also advise key stakeholders on functional areas of impact and alignment and collaborate with other support areas to align with business strategies. To excel in this role, you should possess the following key qualifications and skills: - Strong forecasting/quantitative analysis capabilities. - Proficiency in programming languages like SAS or Python. - Ability to extract, analyze, and present data independently. - Excellent stakeholder management and communication skills. - Self-driven with strong networking skills. Furthermore, as a Portfolio Risk & Risk Measurement Analyst, some of your key responsibilities will include: - Providing second-line oversight through detailed risk measurement, includi

Posted on: March 1, 2026

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