Risk Management Associate at Uplers Responsibilities Solution Development: Design and implement processes for risk management, data analysis, and financial modelling for Structured Products, Whole Loans, MSRs and Private Credit. Model Analysis: Conduct in-depth reviews of prepayment and credit model outputs for different financial products and provide clear, practical interpretations. Data Insights: Analyse large datasets, identifying trends and actionable insights for decision-making. Client Onboarding & Success: Assist with client onboarding and deliver customized solutions tailored to their analytical needs and support. Automation & Optimization: Enhance operational workflows by automating processes and improving system efficiency. Qualifications Must Have: • Educational Background: A degree in Statistics, Mathematics, Engineering, or a related quantitative and finance field. • Technical Expertise: 2-4 years of experience in Python scripting and development • System Proficiency: Good understanding of Unix/Linux-based systems, commands and processes Good to Have: • Domain Knowledge: Familiarity with Fixed Income, Financial modelling and Risk management, Structured products and US mortgage market. • Certifications: CFA/FRM charter holders or candidates pursuing these certifications. Others: Work timings: 12:00 PM IST (2:30 AM ET)– 9:00 PM IST (11:30 ET) – need flexibility Location: Preferred Bangalore, India Remote/Hybrid: 1 – 2 days in office