Job Description
Join Nexus Financial Group's dynamic Risk Division at our prestigious Canary Wharf headquarters. We're seeking a visionary Senior Financial Risk Analyst to revolutionize how we quantify and mitigate systemic threats in global markets. Work alongside industry pioneers shaping the future of financial resilience while enjoying competitive benefits and unparalleled career growth.
What We Offer:
- Hybrid work model with flexible core hours
- £5,000 annual professional development budget
- Private healthcare and pension scheme
- Quarterly performance bonuses
Responsibilities
- Develop and implement advanced quantitative risk models for credit, market, and operational exposures
- Lead stress testing scenarios aligned with EBA and PRA regulatory requirements
- Collaborate with trading desks to design real-time risk monitoring dashboards
- Present risk assessments to C-suite stakeholders using data visualization tools
- Mentor junior analysts and drive continuous improvement in risk methodologies
- Contribute to strategic initiatives in emerging risk areas (climate, crypto, AI)
Qualifications
- Master's degree in Finance, Mathematics, Statistics, or related quantitative field
- 5+ years of experience in financial risk management at Tier 1 institutions
- Advanced proficiency in Python/R and SQL with portfolio modeling experience
- FRM or PRM certification (or equivalent professional designation)
- Demonstrated expertise in Basel III/IV frameworks and IFRS 9 provisions
- Exceptional analytical skills with ability to translate complex data into actionable insights