Risk Analyst
Mumbai, Maharashtra, India
Drip Capital
Location: Mumbai,Maharashtra,India
About Drip Capital
We are a US-based fintech company revolutionizing global trade for SMEs. At Drip Capital, we’re redefining the future of trade finance and facilitation, empowering small and medium-sized enterprises (SMEs) to scale internationally with ease.
With the global SME trade market exceeding $5 trillion, our mission is to provide businesses in emerging markets with seamless access to capital—eliminating red tape and outdated processes. By leveraging cutting-edge technology, we make trade finance fast, efficient, and hassle-free. Beyond financing, we simplify trade and sourcing, helping SMEs navigate global markets effortlessly.
Headquartered in Palo Alto, California, with offices in India, Drip Capital is strategically positioned to meet the evolving needs of SMEs in emerging markets.
Backed by top investors—including Accel, Peak XV, Wing VC, Sequoia India, Y Combinator, GMO, SMBC Japan, Barclays, and IFC—Drip has facilitated over $7 billion in trade across 10,000+ buyers and sellers. As we continue to grow, we remain committed to transforming global trade for SMEs worldwide.
Role Overview
We are seeking a highly analytical and detail-oriented individual to join our team as a Risk Analytics professional. As a Risk Analyst, you'll optimize underwriting policies, develop frameworks to assess long term customer profitability and evaluate alternate data sources that can help the business drive better decisions. Your role involves leveraging advanced analytics to drive actionable insights and develop go-to-market strategies. You'll monitor performance metrics, stay abreast of industry trends, and collaborate closely with stakeholders to drive strategic initiatives. You'll thrive in a collaborative environment where end-to-end ownership is key.
Key Responsibilities:
Develop and maintain risk models to measure potential credit and fraud risks
Analyze data to identify trends and patterns that may indicate increased risk exposure
Take ownership of conducting both offline and live A/B tests for new data and solutions against the current strategy.
Perform advanced analytics and leverage best practices to achieve statistically significant results leading to actionable outcomes.
Lead development and implementation of go-to-market risk management strategies to effectively integrate new data and solutions into the business.
Develop insights capabilities to monitor performances and proactively identify trends and anomalies.
Monitor and report on key risk indicators to senior management and other stakeholders
Collaborate with cross-functional teams to develop risk mitigation strategies
Ensure compliance with regulatory requirements related to risk management
Continuously improve risk management practices and procedures
Requirements:
Bachelor's degree in a quantitative field such as Engineering, Finance, Mathematics, or Statistics
1+ years of experience in risk management, financial analysis, or a related field
Strong analytical skills with proficiency in statistical analysis and modeling
Excellent communication and presentation skills
Ability to work independently and as part of a team
Knowledge of regulatory requirements related to risk management
- Strong proficiency in data analysis, statistical modeling, and business intelligence tools such as Python, R, SQL, Tableau, Power BI, or similar tools.
If you are a proactive problem-solver with a passion for risk management and a strong background in quantitative analysis, we encourage you to apply for this exciting opportunity.
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Tags: A/B testing Business Intelligence Data analysis Engineering Finance FinTech Mathematics Power BI Python R SQL Statistical modeling Statistics Tableau
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