Enable job alerts via email!

Financial Risk Analyst

CYBERVAULT INNOVATIONS AND TECHNOLOGIES PTE. LTD.

Singapore

On-site

USD 40,000 - 80,000

Full time

4 days ago
Be an early applicant

Boost your interview chances

Create a job specific, tailored resume for higher success rate.

Job summary

An innovative firm is looking for a motivated Finance & Investment Analyst to enhance credit risk modeling and conduct macroeconomic research. This role provides a unique opportunity to work on structured finance and portfolio analysis, utilizing tools like Python and Excel. Collaborate with diverse teams to support real-time trading decisions and engage in strategic growth initiatives in regional markets. If you are passionate about finance and eager to make an impact, this position offers a dynamic environment for professional development.

Qualifications

  • Pursuing or recently completed a degree in Finance, Economics, Statistics, or Data Science.
  • Strong analytical skills with a foundation in financial modeling and macroeconomic analysis.

Responsibilities

  • Assist in developing credit risk and ALM models using VaR and Scenario Analysis.
  • Conduct macroeconomic and market research to guide capital allocation.

Skills

Analytical Skills
Financial Modeling
Macroeconomic Analysis
Communication Skills
Python
Excel
R
SQL

Education

Degree in Finance
Degree in Economics
Degree in Statistics
Degree in Data Science

Tools

Excel
Python
R
SQL

Job description

Role Overview:


We are seeking a highly motivated Finance & Investment Analyst to join our team. This role offers a unique opportunity to gain hands-on experience across credit risk modeling, structured finance, macroeconomic research, and portfolio analysis.


Key Responsibilities:


  • Assist in developing and enhancing credit risk and Asset Liability Management (ALM) models using VaR, Expected Loss, and Scenario Analysis.
  • Support the structuring and evaluation of fixed income and debt transactions involving SPVs and institutional/HNI investors.
  • Conduct macroeconomic and market research (FX, interest rates, policy trends) to guide capital allocation and strategic growth in regional markets.
  • Analyze company financials in emerging markets, combining bottom-up valuations with macro-overlays.
  • Compute and interpret portfolio risk metrics (Sharpe, Sortino, Treynor ratios) using Python or Excel.
  • Build and visualize data pipelines, dashboards, and financial models to support real-time risk and trading decisions.
  • Collaborate with Investor Relations and Trading teams on research-driven outreach, deal origination, and compliance tracking.

______________

Requirements:

  • Pursuing or recently completed a degree in Finance, Economics, Statistics, Data Science, or a related field.
  • Strong analytical skills with a foundation in financial modeling and macroeconomic analysis.
  • Proficiency in Excel; experience with Python, R, or SQL is a strong plus.
  • Familiarity with financial statements, capital markets, and risk metrics.
  • Excellent communication and research skills.
  • Self-starter with the ability to work independently and across time zones.

______________

Preferred Qualifications:

  • Prior project experience in investment banking, fintech, asset management, or consulting.
  • Exposure to Southeast Asian markets is an advantage.
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.