A major financial institution in New York is seeking a Risk Analyst to oversee risk management strategies and ensure accurate reporting. Responsibilities include producing risk reports, collaborating on risk data processes, and analyzing profit/loss data. Candidates should have a degree in finance or related fields, strong communication skills, and an interest in financial markets. The role offers competitive compensation and benefits within a supportive team environment.
Qualifications
Degree in finance, economics, or mathematics required.
Strong interest in financial markets essential.
Ability to follow senior direction with minimal oversight.
Responsibilities
Produce daily risk reports ensuring accuracy.
Investigate risk report breaches with senior team members.
Collaborate with project managers to improve risk data processes.
Analyze daily profit/loss for businesses and communicate findings.
Skills
Knowledge of financial markets
Strong written and verbal communication skills
Attention to detail
Self-motivated and curious
Ability to handle diverse workload
Education
Undergraduate or master’s degree in finance, economics, mathematics
Job description
A major financial institution in New York is seeking a Risk Analyst to oversee risk management strategies and ensure accurate reporting. Responsibilities include producing risk reports, collaborating on risk data processes, and analyzing profit/loss data. Candidates should have a degree in finance or related fields, strong communication skills, and an interest in financial markets. The role offers competitive compensation and benefits within a supportive team environment.