Job Description
We are seeking a visionary Senior Financial Risk Analyst to join our elite team in London. In an era of rapid economic flux, your expertise in risk assessment and regulatory compliance will be the bedrock of our financial stability.
At Meridian Finance Group, we don't just predict the market; we shape it. You will have the autonomy to implement advanced risk models and drive strategic decision-making processes that impact millions.
Why Join Us?
- Competitive salary and performance-based bonus structure.
- Hybrid working model with flexible hours.
- Professional development budget and leadership training.
Responsibilities
- Lead the end-to-end credit risk assessment process for high-value portfolios.
- Monitor and report on Key Risk Indicators (KRIs) to the Board of Directors.
- Ensure full compliance with UK regulatory standards (FCA, PRA) and Basel III/IV frameworks.
- Develop and validate complex quantitative models for market and credit risk.
- Conduct stress testing and scenario analysis to prepare for market volatility.
- Collaborate with product and operations teams to mitigate operational risks.
Qualifications
- Minimum of 5 years of experience in financial risk management or quantitative analysis.
- Professional qualification (CFA, ACA, ACCA, or CIIA) is highly desirable.
- Strong proficiency in SQL, Python, and advanced Excel (VBA/Macros).
- Exceptional attention to detail and a rigorous approach to data integrity.
- Excellent communication skills, capable of presenting complex data to non-technical stakeholders.
- UK work authorization is essential.