Job Description
Join Global Financial Partners' prestigious Risk Management Division as we pioneer next-generation financial stability solutions in the heart of London's financial district. We're seeking a visionary Senior Financial Risk Analyst to transform complex market data into actionable strategic insights for our global banking clients. This role offers unparalleled exposure to regulatory compliance frameworks, quantitative modeling, and cross-functional collaboration with C-suite executives. Enjoy a hybrid work model with state-of-the-art facilities in our Canary Wharf headquarters.
Responsibilities
- Develop and validate advanced quantitative risk models for credit, market, and operational exposures
- Lead stress testing scenarios and regulatory reporting under Basel III/IV frameworks
- Collaborate with front-office teams to embed risk mitigation into trading strategies
- Present risk assessments to senior stakeholders and regulatory bodies
- Mentor junior analysts and drive continuous improvement in risk methodologies
- Monitor emerging financial regulations and advise on compliance implications
Qualifications
- Master's degree in Finance, Mathematics, Statistics, or related quantitative field
- 5+ years' experience in financial risk analysis within banking/financial services
- Advanced proficiency in Python/R, SQL, and risk modeling platforms (e.g., Murex, Aladdin)
- Deep understanding of IFRS 9, Basel accords, and EBA guidelines
- CFA/FRM certification or equivalent professional qualification
- Demonstrated experience with large-scale data analysis and visualization
- Exceptional communication skills for translating complex concepts