Job Description
Join our elite risk management team at Global Financial Partners, where we're shaping the future of banking innovation. As a Senior Financial Risk Analyst, you'll leverage cutting-edge analytics to safeguard our $50B portfolio while driving strategic growth in the heart of NYC's financial district. We offer unparalleled mentorship, industry-leading compensation, and a culture that rewards intellectual curiosity and collaborative excellence.
Responsibilities
- Develop and implement advanced risk assessment models for credit, market, and operational exposures
- Lead stress testing scenarios and regulatory compliance initiatives (Basel III/IV)
- Collaborate with portfolio managers to optimize risk-adjusted returns
- Present risk insights to executive leadership and regulatory bodies
- Mentor junior analysts and drive continuous improvement in risk frameworks
Qualifications
- 5+ years in financial risk analysis at Tier 1 financial institutions
- Advanced proficiency in Python, R, or SQL for quantitative modeling
- FRM or CFA certification strongly preferred
- Expertise in regulatory reporting (DFAST, CCAR)
- Proven track record of designing risk mitigation strategies
- Master's degree in Finance, Economics, or related field