Job Description
Join our award-winning risk management team at Global Financial Partners, where innovation meets financial integrity. As a Senior Financial Risk Analyst, you'll safeguard our multi-billion dollar portfolio while shaping the future of banking technology. We offer hybrid work, comprehensive benefits, and opportunities to lead cutting-edge projects in blockchain risk assessment and AI-driven compliance frameworks.
Our ideal candidate thrives in fast-paced environments and brings expertise in quantitative analysis to solve complex financial challenges. If you're passionate about protecting assets while driving growth in the digital banking era, we want to hear from you.
Responsibilities
- Develop and implement advanced risk models for credit, market, and operational exposures
- Analyze financial data using Python, R, and SAS to identify emerging threats
- Lead regulatory compliance initiatives including Basel III and Dodd-Frank requirements
- Present risk assessments to executive stakeholders with actionable strategic recommendations
- Mentor junior analysts and optimize risk management workflows
- Collaborate with fintech partners on innovative risk mitigation solutions
Qualifications
- Master's degree in Finance, Economics, or Quantitative field (PhD preferred)
- 5+ years in banking risk analysis with exposure to capital markets
- Expertise in statistical modeling (Monte Carlo, VaR, stress testing)
- Professional certifications (FRM, CFA, PRM) or equivalent experience
- Advanced proficiency in SQL and financial modeling tools
- Demonstrated success in developing regulatory reporting frameworks