Financial Risk Analyst
THE COMPANY:
Our client is an international banking group based in the City that specialises in project and acquisition finance.
THE RESPONSIBILITIES:
- Maintain and enhance Liquidity and Market Risk frameworks under the oversight of Head of FRM;
- Produce and analyze liquidity, ALM, and market risk metrics & reports, ensure compliance and escalate risks.
- Provide support to the team in monitoring branch’s credit risks and assist Head of FRM in maintaining Credit Risk Framework.
- Support automation of financial risk reporting, using tools like – Qlik Sense, Python, or Excel VBA etc.
- Collaborate with Internal Control to strengthen financial risk-related controls and data accuracy.
- Comply with Group policies (AML, conduct rules, etc.) and actively enhance risk culture via policy updates, training, and cross-team collaboration.
EXPERIENCE REQUIRED:
- Ideally 5+ years of experience in liquidity risk (1LoD/2LoD) in banking; knowledge of EEA/UK regulations.
- Strong analytical, problem-solving, and stakeholder management skills.
- Proficiency in MS Office (Excel, PowerPoint, etc.).
- Ability to manage diverse responsibilities under tight deadlines”
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