
Qualification: MBA / CFA / FRM or equivalent
We are looking for professionals with experience in Financial Markets and Risk Analysis to join a Financial Research Risk team supporting firm-wide risk monitoring and reporting.
Key Responsibilities:
- Monitor risk exposures across asset classes and investment strategies.
- Analyze and escalate risk-related concerns using sound judgment.
- Develop and enhance data visualizations and risk reporting frameworks.
- Conduct quantitative and qualitative analysis of market, business and event-driven risks.
- Support risk monitoring during periods of heightened market volatility.
- Contribute to firm-wide exposure reporting.
- Support development and enhancement of risk technology tools and processes.
- Present findings and insights to senior stakeholders and Front Office teams.
Must-Have:
- 3-8 years of experience in Financial Markets.
- MBA / CFA / FRM or equivalent qualification.
- Buy-side or sell-side experience analyzing investment portfolios, trading strategies or financial markets.
- Basic programming skills in Python or R.
- Strong analytical aptitude and understanding of statistical concepts applied to financial markets.
- Excellent written and verbal communication skills.
Preferred:
- Prior Risk Management experience.
- Exposure to AI tools for data analysis and reporting.
- Ability to analyze risks effectively during periods of extreme market volatility.
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