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Risk Analytics Specialist

Leading Edge

Shalimar Tehsil

On-site

PKR 1,400,000 - 2,000,000

Full time

Today
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Job summary

A financial services company in Pakistan is seeking a highly skilled Risk Analytics Specialist. This role involves analyzing financial risks, developing risk models, and providing insights to influence business decisions. The ideal candidate will have a strong background in mathematics or statistics, with proficiency in risk modeling and data analysis. Responsibilities include preparing reports and ensuring compliance with regulatory standards.

Qualifications

  • Minimum 2-3 years of experience in risk analytics or related field.
  • Strong understanding of financial markets and instruments.

Responsibilities

  • Analyze financial data to identify potential risks and opportunities.
  • Develop and maintain risk models to predict potential losses and opportunities.
  • Prepare and present reports on risk analysis and recommendations.
  • Work with cross-functional teams to implement risk management strategies.
  • Ensure compliance with regulatory requirements.

Skills

Risk modeling
Data analysis
Statistical software (R, Python, SAS)
Financial market understanding

Education

Bachelor's degree in Mathematics, Statistics, Economics
Master's degree
FRM, PRM, or CFA certification
Job description

We are seeking a highly skilled Risk Analytics Specialist to join our team in Pakistan. The successful candidate will be responsible for analyzing and managing financial risks, developing risk models, and providing insights to support business decisions.

Responsibilities
  1. Analyze financial data to identify potential risks and opportunities.
  2. Develop and maintain risk models to predict potential losses and opportunities.
  3. Collect, analyze, and interpret large data sets to identify trends and patterns.
  4. Prepare and present reports to stakeholders on risk analysis and recommendations.
  5. Work with cross-functional teams to implement risk management strategies.
  6. Ensure compliance with regulatory requirements and industry standards.
  7. Continuously monitor and review risk exposures to ensure effective risk management.
Qualifications
  1. Bachelor\'s degree in Mathematics, Statistics, Economics, or related field. Master\'s degree preferred.
  2. Minimum 2-3 years of experience in risk analytics or related field.
  3. Proficient in risk modeling, data analysis, and statistical software (e.g., R, Python, SAS). Strong understanding of financial markets and instruments.
  4. FRM, PRM, or CFA certification preferred.
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