Finance Risk Management Expertise
This is a unique opportunity to be at the forefront of a significant transformation project, enhancing our organization's financial risk management framework.
As a finance risk analyst, you will leverage your expertise in finance and programming to drive process optimization, automate reporting, and ensure the robustness of our client's risk models.
Key Responsibilities
* Process Re-engineering: Play a key role in redesigning workflows, enhancing the control framework, and developing comprehensive new procedures and user manuals.
* System Testing & Validation: Conduct rigorous testing and validation of automated controls within a Python-based system to guarantee data integrity, accuracy, and alignment with strategic improvement goals.
* Digital Transformation: Support the digitalization and continuous improvement of the monthly liquidity Key Risk Indicator (KRI) reporting process, making it more efficient and insightful.
* Automation & Development: Develop and automate more frequent liquidity risk calculations to provide timely insights that support Front Office decision-making and meet evolving regulatory requirements.
Required Skills & Qualifications