Job Description
Join GlobalTrust Financial Partners as a Senior Financial Risk Analyst and shape the future of risk management in one of Europe's most dynamic financial hubs. We're seeking a visionary professional to lead advanced risk modeling initiatives and drive strategic decision-making in our London headquarters. With competitive compensation, industry-leading training, and unparalleled career progression opportunities, this role offers the perfect platform to excel in the evolving banking landscape.
What We Offer:
- Industry-leading compensation package with annual bonus potential
- Comprehensive health and wellness benefits
- Flexible working arrangements and hybrid model
- Professional development stipend for certifications
- Collaborative, inclusive culture with mentorship programs
Responsibilities
- Develop and implement sophisticated credit risk models using SAS and Python
- Analyze complex financial portfolios to identify emerging risk exposures
- Collaborate with senior leadership to design risk mitigation strategies
- Produce comprehensive regulatory reporting packages (FCA/PRA compliant)
- Mentor junior analysts and enhance departmental risk frameworks
- Lead stress testing scenarios under Basel IV requirements
- Present risk insights to executive stakeholders and board committees
Qualifications
- Masters degree in Finance, Mathematics, Statistics, or related field
- 5+ years of experience in banking risk management
- Advanced proficiency in SAS, Python, and SQL
- Deep understanding of IFRS 9 and ECL methodologies
- FRM or CFA certification (preferred)
- Demonstrated experience with regulatory reporting frameworks
- Exceptional analytical and stakeholder communication skills
- Proven track record of delivering high-impact risk solutions