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Jr. Risk

buscojobs Brasil

São Paulo

Híbrido

BRL 400.000 +

Tempo integral

Hoje
Torna-te num dos primeiros candidatos

Resumo da oferta

A global consulting firm is seeking a motivated Jr. Risk & Markets Consultant in São Paulo. This role involves validating financial market data, monitoring market risk metrics, and supporting risk report creation. Ideal candidates have a Bachelor's degree in a relevant field, programming skills, and experience in risk analysis. The position offers a hybrid work model and opportunities for continuous learning.

Serviços

Life insurance
Free English and Spanish lessons
Flexible work environment

Qualificações

  • 1 to 3 years of experience in risk, market analysis, or financial environments.
  • Basic programming or scripting skills (Python, R, SQL).
  • Strong quantitative and analytical foundation.

Responsabilidades

  • Validate and reconcile financial market data.
  • Monitor and report market risk metrics.
  • Support creation of risk reports and dashboards.

Conhecimentos

Quantitative analysis
Detail-oriented
Programming skills (Python, SQL)
Advanced English
Analytical skills

Formação académica

Bachelor’s degree in Engineering, Economics, Mathematics, or Statistics

Ferramentas

Pandas
NumPy
Power BI
Tableau
Descrição da oferta de emprego

Join NFQ! We are a global consulting firm specialized in business, technology, and operations, with over 2,000 professionals across national and international offices. At NFQ, we offer a different consulting model: Flexible | Scalable | Specialized | Client-Centric.

As part of our continuous growth, we are looking for a motivated and detail-oriented Jr. Risk & Markets Consultant to join our Markets & Treasury Risk Team in São Paulo (Hybrid model).

If you are passionate about market risk analysis, data quality, and financial controls, and want to work at the core of risk management processes, this is the right opportunity for you.

What You’ll Do

  • Validate and reconcile financial market data used by front-office and risk teams (prices, volumes, rates, market variables).
  • Monitor, calculate, and report market risk metrics such as sensitivities (Greeks), exposures, Value at Risk (VaR), and internal limits.
  • Perform variance and P&L analysis, comparing estimates vs. actual results to identify inconsistencies or potential risk events.
  • Support the creation and automation of risk reports and dashboards for decision-making by Risk and Treasury.
  • Collaborate with Front Office, Middle Office, and Back Office to resolve discrepancies and ensure data integrity for risk models.
  • Assist in the development of scripts or tools for risk data validation and control automation (Python, SQL, R).
  • Participate in data integrity tests, stress scenarios, and contribute to internal control and compliance processes.

Must-Have Qualifications

  • Bachelor’s degree in Engineering, Economics, Mathematics, Statistics, or related fields.
  • Strong quantitative and analytical foundation, with solid knowledge of probability, statistics, and numerical methods.
  • Basic programming or scripting skills (Python, R, SQL, or similar) applied to risk or data analysis.
  • Advanced Spanish or English (daily communication with LATAM stakeholders).
  • Detail-oriented, proactive, and rigorous when working with large financial datasets.
  • 1 to 3 years of experience (internship or full-time) in risk, market analysis, or financial environments.

Nice to Have

  • Previous experience in market risk or related areas (trading desk support, risk control, or model validation).
  • Knowledge of derivatives, fixed income, FX, and interest rate products.
  • Familiarity with risk frameworks (VaR, stress testing, backtesting, sensitivity analysis).
  • Experience with Python analytical libraries (Pandas, NumPy).
  • Advanced English for global projects and documentation.
  • Certifications or training in FRM, CFA, or specific risk management programs.
  • Knowledge of BI / data visualization tools (Power BI, Tableau, etc.) and version control tools (Git).

What We Offer

  • Exposure to market risk management projects and strategic financial decision-making.
  • Work in a dynamic and international environment with leading financial institutions.
  • Continuous learning and official certifications (risk, technology, and finance).
  • Language classes to boost your global career.
  • A personalized development plan with mentorship and growth opportunities.
  • Life insurance
  • VR R$ 800,00
  • Free English and Spanish Lessons
  • Flexible work environment, internal events, travel opportunities, and wellness initiatives.
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