Job Description
Join our elite risk management team at Global Wealth Partners, a leading financial institution shaping the future of banking innovation. We're seeking a visionary Senior Financial Risk Analyst to develop cutting-edge risk frameworks that protect our $50B+ portfolio while driving strategic growth opportunities. This role offers unparalleled exposure to global markets and the chance to influence our next generation of financial products.
In our collaborative Wall Street hub, you'll partner with C-suite executives and quantitative experts to transform complex market data into actionable insights. We offer industry-leading training programs, flexible work arrangements, and a performance-driven culture that rewards excellence.
Responsibilities
- Design and implement advanced risk models for credit, market, and operational exposures using SAS and Python
- Lead stress testing scenarios and regulatory compliance reporting (Basel III/IV, CCAR)
- Develop risk mitigation strategies for emerging fintech integrations and crypto-asset portfolios
- Present risk assessments to executive leadership and board committees with data-driven narratives
- Mentor junior analysts and drive continuous improvement of risk analytics infrastructure
- Collaborate with product teams to embed risk controls into new financial instruments
Qualifications
- 7+ years in financial risk analysis within banking/investment management
- Advanced degree in Finance, Mathematics, Statistics, or Quantitative Economics
- FRM or CFA charterholder required with deep regulatory expertise
- Expert proficiency in Python/R, SQL, and risk modeling platforms (e.g., Murex, Aladdin)
- Proven track record of developing proprietary risk frameworks for complex portfolios
- Experience with cloud-based risk analytics (AWS/Azure) and AI-driven forecasting
- Exceptional communication skills translating technical concepts to non-technical stakeholders