Job Description
Join Nexus Financial Group's elite Risk Management Division and shape the future of global banking compliance. We seek a visionary Senior Financial Risk Analyst to develop cutting-edge risk mitigation strategies in a dynamic, data-driven environment. You'll collaborate with C-suite executives to navigate complex regulatory landscapes while pioneering innovative risk assessment methodologies.
Our London headquarters offers unparalleled career progression in one of the world's most influential financial centers. Enjoy competitive compensation, comprehensive benefits, and continuous professional development through our exclusive partnership with the Chartered Financial Analyst (CFA) Institute.
Responsibilities
- Design and implement advanced quantitative risk models for credit, market, and operational exposures
- Lead enterprise-wide stress testing scenarios and regulatory reporting (Basel III/IV)
- Develop predictive analytics frameworks using Python/R and machine learning techniques
- Present risk insights to executive stakeholders through executive dashboards and strategic briefings
- Mentor junior analysts and drive continuous improvement in risk management frameworks
- Collaborate with global teams on cross-border risk exposure analysis
Qualifications
- Master's degree in Finance, Mathematics, Statistics, or related quantitative field
- 5+ years in financial risk management within banking/financial services
- CFA/FRM certification or demonstrable progress toward designation
- Expert proficiency in Python (Pandas, Scikit-learn) and SQL
- Deep understanding of IFRS 9, ECL modeling, and regulatory compliance
- Experience with SAS, R, or similar statistical analysis tools
- Proven track record of developing risk mitigation strategies during market volatility