Job Description
Join Global Financial Partners' elite risk management team in the heart of Wall Street. As a Senior Financial Risk Analyst, you'll safeguard our multi-billion dollar portfolio by modeling complex market dynamics and developing predictive frameworks. We're seeking visionary professionals who thrive in fast-paced environments and want to shape the future of financial resilience.
What We Offer:
- Industry-leading compensation with 15% annual bonus potential
- Comprehensive wellness program including mental health support
- Tuition reimbursement for advanced certifications (FRM, CFA)
- Hybrid work model with downtown NYC office access
Responsibilities
- Develop quantitative risk models for credit, market, and operational exposures
- Conduct stress testing scenarios under macroeconomic volatility
- Produce executive dashboards visualizing portfolio risk metrics
- Collaborate with trading desks to implement hedging strategies
- Maintain compliance with Basel III and Dodd-Frank regulations
- Mentor junior analysts through rigorous validation processes
Qualifications
- 5+ years in financial risk management or quantitative analysis
- Advanced proficiency in Python/R and SQL
- FRM certification or CFA charter preferred
- Experience with machine learning for predictive analytics
- Deep understanding of derivatives and structured products
- Master's degree in Finance, Statistics, or related field
- Proven ability to communicate complex concepts to executives