MBA/B.Tech with additional certification in FRM or CFA (advantageous)
3–5 years of professional experience in risk governance, data analytics, or related domains
Strong understanding of private and public markets, including investment structures and risk considerations
Strong understanding of risk governance principles and private market investment structures
Expertise in data management, including data quality, lineage, and governance frameworks
Proficiency in advanced analytics, with experience with tech platforms
Professional Python & R programming experience, including building data pipelines and analytics (advanced skills a must)
Ability to design and implement reporting solutions for portfolio monitoring, stress testing, and regulatory compliance
Familiarity with regulatory requirements and industry best practices for private markets
Strong stakeholder management and communication skills to collaborate across investment, technology, and compliance teams
Experience in automation and process optimization for reporting and analytics workflows
Keen interest in solving difficult real-world problems, analytics, reporting, and production
Outstanding business, communication, and presentation skills
Attention to detail, good work ethic, and ability to work as part of a team in a fast-paced environment
Responsibilities
Maintain data integrity through standardized data frameworks
Deliver advanced analytics for private market investments (credit, infrastructure, and alternatives)
Provide transparent reporting to support strategic decision-making
Partner with investment teams, technology, and compliance functions to embed risk culture and deliver actionable insights
Work with Investment Risk Managers and other BlackRock teams globally to enable efficient and effective governance and oversight of investment portfolios in accordance with policies and procedures