Job Description
Join Global Financial Partners as a Senior Financial Risk Analyst in our London headquarters. We're seeking a strategic thinker to revolutionize risk management methodologies within our dynamic banking environment. You'll collaborate with C-suite executives to develop cutting-edge risk mitigation strategies while shaping the future of financial compliance in a post-Brexit landscape.
Our award-winning team operates at the intersection of innovation and regulation, offering unparalleled exposure to global markets and complex financial instruments. With industry-leading training programs and performance-based bonuses, this role represents a career-defining opportunity for ambitious risk professionals.
Responsibilities
- Design and implement advanced quantitative risk models for credit, market, and operational exposures
- Lead stress testing scenarios and regulatory capital calculations under Basel III/IV frameworks
- Develop AI-driven risk analytics dashboards for executive decision support
- Coordinate cross-functional risk assessments with trading, treasury, and audit departments
- Maintain comprehensive risk documentation ensuring FCA/PRA compliance
- Mentor junior analysts and champion continuous improvement initiatives
Qualifications
- Master's degree in Finance, Mathematics, Statistics, or related quantitative field
- 5+ years of experience in financial risk management within banking/financial services
- Advanced proficiency in Python/R and SQL with data visualization expertise
- FRM or PRM certification required; CFA preferred
- Demonstrated experience with regulatory reporting (LCR, NSFR, IRRBB)
- Strong understanding of ESG risk integration frameworks
- Exceptional communication skills for presenting complex risk concepts