Job Description
Join Global Financial Partners' elite risk management team in New York City. As a Senior Financial Risk Analyst, you'll shape our institutional risk framework while navigating complex global markets. We're seeking visionary professionals to drive quantitative risk strategies that protect billions in assets and fuel sustainable growth.
Why join us? Our culture combines Wall Street rigor with fintech innovation. You'll collaborate with Nobel laureates and blockchain pioneers while enjoying unmatched career mobility across our global network.
Responsibilities
- Design and implement stress testing frameworks for institutional portfolios
- Develop quantitative models for market, credit, and operational risk assessment
- Lead Basel III/IV compliance initiatives and regulatory reporting
- Present risk insights to C-suite executives and board committees
- Mentor junior analysts and optimize risk analytics workflows
- Drive innovation in ESG risk integration methodologies
Qualifications
- 7+ years in financial risk management with top-tier institutions
- Advanced degree in Quantitative Finance, Mathematics, or Statistics
- Expertise in Python/R, SQL, and risk modeling platforms (SAS, Murex)
- CFA/FRM certification or equivalent professional designation
- Demonstrated experience with regulatory reporting (BCBS 239, IFRS 9)
- Strong track record in developing risk-based capital strategies
- Exceptional presentation skills for complex financial data