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Date live:
Oct. 28, 2025
Business Area:
Cross Markets
Area of Expertise:
Markets
Reference Code:
JR-0000079757
Contract:
Permanent
Take a look at the map to see what’s nearby. Train stations & bus stops, gyms, restaurants and more.
Explore locationJoin us as an “Analyst – RMG Capital & Funding" at Barclays, where you willbe leveraging technology & risk expertise to aid Management in effectively understanding and managing the Risk & Capital profile of Global Markets.
To be successful as an “Analyst – RMG Capital & Funding”one must havecollaborative and entrepreneurial drive to partner across products, functions and regions, and leverage experience in Risk to manage capital, funding, and balance sheet activities across Markets. It is critical to leverage technologyto build next gen. tools to help solve business problems.
You may be assessed on the key critical skills relevant for success in role, as this is a high-profile front office position which requires effective engagement with a variety of internal stakeholders across multiples businesses. The role will involve dealing with internal stakeholders within RMG, and across Sales, Trading, Product Control, Credit, Legal, Ops Control and several other teams.
Basic/ Essential Qualifications:
Graduate or MBA from top tier Engineering/Business school.
Excellent verbal and written communication skills, able to clearly articulate complicated issues to management and other impacted areas and ensure timely resolution of issues and breaches.
Experience in Risk & Capital tools, methodologies, and Markets risk concepts.
Knowledge of derivatives, risk analytics, stress testing, and pricing models.
Experience in creating Dashboards in Tableau, QlikView or other similar platforms.
Strong technical skills across Python, SQL, Microsoft Excel.
Stakeholder Management and Leadership.
An understanding of the Regulatory Framework in which the business operates including how this practically translates into control frameworks within the bank.
Able to work effectively as part of a large team and willing to take on responsibility.
Well organized with good time management skills and the ability to meet tight deadlines and prioritize tasks. Ability to multi-task and prioritize accordingly in a highly pressurized environment.
Desirable skillsets/ good to have:
Understanding of one or more of the following asset classes includingLiquid Financing, Macro and Credit.
Utilize cutting edge technology to develop tools & automate existing and new responsibilities wherever possible.
Experience in Counterparty or Market Risk; knowledge of capital/leverage regulations.Familiar with Prime services including Repo, stock loans, and Derivatives.
Any progress on CFA or FRM is preferred.
This role will be based out of NKP in Mumbai.
Purpose of the role
To maintain the smooth and efficient operation of our trading desks, providing operational support and expertise to traders, sales professionals, and other key stakeholders, helping them maximize their productivity and minimize disruptions and handling administrative tasks, and providing market information and research.
Accountabilities
Analyst Expectations
All colleagues will be expected to demonstrate the Barclays Values of Respect, Integrity, Service, Excellence and Stewardship – our moral compass, helping us do what we believe is right. They will also be expected to demonstrate the Barclays Mindset – to Empower, Challenge and Drive – the operating manual for how we behave.