Financial Risk Management Position
We are seeking a skilled and analytical professional to lead our Financial Risk Management team.
This role will be instrumental in developing, maintaining, and automating models and processes that underpin our capital adequacy and risk measurement.
* Quantitative Model Management: Enhance and maintain our financial risk quantification models.
* Methodology Implementation: Collaborate on the implementation of new capital and financial risk methodologies across the organization.
* Process Automation: Spearhead automation initiatives for risk quantification and reporting workflows using Python and SQL.
* Data Analysis & Reporting: Perform in-depth financial risk analysis and manage complex data aggregation tasks to produce insightful reports and dashboards.
* Data Integrity: Design and implement rigorous data quality controls and reconciliation processes.
Key Responsibilities: Develop, maintain, and automate financial risk management models and processes; collaborate with stakeholders to implement new methodologies; spearhead automation initiatives to improve efficiency and accuracy; perform data analysis and reporting to inform business decisions; design and implement data quality controls and reconciliation processes.
What We Offer: A dynamic and supportive work environment; opportunities for professional growth and development; competitive compensation and benefits package; recognition and rewards for outstanding performance.