Job Description
Join Nexus Financial Group's elite risk management team in the heart of London's financial district. As a Senior Financial Risk Analyst, you'll be instrumental in safeguarding our £50B+ portfolio through cutting-edge quantitative modeling and regulatory compliance expertise. We offer a dynamic environment where your analytical prowess directly shapes global financial stability.
Our culture combines Wall Street rigor with European innovation, providing unparalleled growth opportunities in fintech disruption. Enjoy hybrid work flexibility, comprehensive benefits, and access to industry-leading training programs.
Responsibilities
- Develop and implement advanced credit risk models for complex financial instruments
- Lead Basel III/IV compliance reporting and regulatory audits
- Analyze market volatility trends and stress-test portfolio scenarios
- Collaborate with trading desks to embed risk controls into real-time decision-making
- Mentor junior analysts and drive continuous improvement in risk frameworks
- Present risk insights to executive stakeholders and board committees
Qualifications
- MSc/PhD in Quantitative Finance, Mathematics, or Statistics
- 5+ years in financial risk analysis within investment banking or asset management
- Expert proficiency in Python/R and SQL with big data platforms
- FRM certification or equivalent risk management accreditation
- Deep understanding of IFRS 9 and EBA guidelines
- Experience with machine learning applications in credit risk modeling
- Exceptional communication skills for translating complex analytics