Job Overview
Financial Risk Modeling Analyst
Job Title: Financial Risk Modeling Analyst
Job Description: As a Financial Risk Modeling Analyst, you will be responsible for developing and maintaining risk models to assess and manage financial risks. You will work with risk managers, actuaries, and quants to model credit, market, and operational risks.
Responsibilities:
-
Develop and validate risk models for credit risk assessment, market risk forecasting, and operational risk management.
-
Analyze financial data and market indicators to calibrate risk models and parameters.
-
Conduct stress testing and scenario analysis to assess the impact of adverse events on the company’s financial health.
-
Collaborate with risk managers and stakeholders to interpret model results and make informed risk management decisions.
-
Stay informed about regulatory requirements and industry best practices related to risk modeling.
Qualifications:
-
Bachelor’s or Master’s degree in Finance, Mathematics, Statistics, or related field.
-
Strong quantitative and analytical skills.
-
Experience in risk modeling or quantitative analysis role.
-
Proficiency in statistical software such as SAS, R, or MATLAB.
-
Excellent communication and collaboration skills.
What the Company Offers:
-
Competitive salary and benefits package.
-
Opportunities for professional growth and career advancement.
-
Impactful work in financial risk management.
-
Collaborative and dynamic work environment.
Are you interested in this position? Apply by clicking on the “Apply Now” button below!
#LibertyloomJobs #FintechCareers #JobOpportunities #FinanceJobs #TechTalent #FintechRecruitment #CareerInFinance#