Financial Modeling Analyst (Securitization / Python)
RiskSpan is looking for a Financial Modeling Analyst to join their fintech analytics team. The role involves extracting deal structures from legal documents and building programmatic models using Python. You will perform quality control on cash flow mechanics and collaborate with investment banks and asset managers. The position requires 1-2 years of experience and strong coding skills in Python.
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Experience
1-2 years
Function
Finance
Work mode
Onsite, India
Company
Tier 2
What you will work on
RiskSpan is looking for a Financial Modeling Analyst to join their fintech analytics team. The role involves extracting deal structures from legal documents and building programmatic models using Python. You will perform quality control on cash flow mechanics and collaborate with investment banks and asset managers. The position requires 1-2 years of experience and strong coding skills in Python.
TAL's take
Role is well-defined and clearly scoped within a specialized niche in fintech.
The JD is crisp, specifying the exact tasks around deal structure extraction and programmatic modeling using Python.
Must haves
- 1–2 years of experience in financial modeling or structured finance analytics
- Proficiency in Python
- Ability to write clean, efficient, and maintainable code
- Excellent communication skills
Tools and skills
Nice to have: securitization modeling, rmbs, cmbs, abs, clos.
About the company
RiskSpan is a established firm providing analytics and modeling solutions to institutional finance clients.