Job Description
Join Nexus Financial Group's elite risk management team where innovation meets tradition. As a Senior Financial Risk Analyst, you'll safeguard our $50B portfolio while shaping the future of banking technology. We offer unparalleled career growth in a dynamic, data-driven environment with cutting-edge tools and industry-leading mentorship.
Responsibilities
- Develop and implement advanced credit risk models for institutional portfolios
- Analyze market trends to identify emerging financial risks and opportunities
- Collaborate with trading desks to optimize risk-adjusted returns
- Lead stress testing scenarios for regulatory compliance (CCAR/Basel IV)
- Present risk insights to C-suite executives and board committees
- Mentor junior analysts and drive continuous process improvements
Qualifications
- 5+ years in financial risk analysis at top-tier banks/institutions
- Expertise in Python, R, and SQL for quantitative risk modeling
- Professional certification (FRM, PRM, or CFA) required
- Deep knowledge of IFRS 9 and CECL accounting standards
- Experience with SAS or MATLAB for advanced analytics
- Proven track record of risk strategy implementation
- MBA or Master's in Quantitative Finance preferred