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Finance 🏢 Full Time ⭐️ Verified

Senior Financial Risk Analyst

Nexus Financial Group
London
Salary Estimate
GBP 75.000 – GBP 95.000
Live Update
1 Juni 2026
Deadline
1 Jun 2027

Job Description

Join Nexus Financial Group's elite Risk Management Division as we redefine financial resilience in the digital age. We're seeking a strategic thinker to architect robust risk frameworks that safeguard £50B+ in global assets while enabling sustainable growth. This hybrid role combines quantitative rigor with strategic vision in one of Europe's most dynamic financial hubs.

Responsibilities

  • Design and implement Basel III/IV compliant risk models for credit, market, and operational exposures
  • Lead stress testing scenarios and develop contingency plans for systemic market events
  • Collaborate with portfolio managers to optimize risk-adjusted returns
  • Present complex risk analyses to C-suite and regulatory bodies
  • Mentor junior analysts and drive continuous improvement in risk methodologies

Qualifications

  • MSc/PhD in Finance, Mathematics, or Quantitative field (CFA/FRM preferred)
  • 5+ years in financial risk management at Tier 1 institutions
  • Advanced proficiency in Python/R and SQL with risk modeling libraries
  • Demonstrated experience with regulatory reporting frameworks
  • Exceptional communication skills translating complex analytics to stakeholders
  • Proven track record of implementing risk mitigation strategies

Required Skills

Risk Modeling Basel III Python SQL Stress Testing Regulatory Compliance Financial Analysis R Programming

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