Risk Analytics & Reporting Lead

Morgan Stanley

New York (NY)

On-site

USD 100,000 - 140,000

Full time

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Job summary

Morgan Stanley seeks a professional to join the Risk Analysis and Reporting team within Firm Risk. You will perform detailed risk analysis, design and implement strategic reporting solutions, and deliver risk reporting to senior management across multiple regions.

The role requires a strong foundation in economics, mathematics, statistics or programming, with 3+ years in finance/risk or related fields, and the ability to work in a multidisciplinary team. Base pay is competitive with incentives.

Qualifications

  • Bachelor's or Master's degree with 3 years of work experience in finance/accounting/risk management/technology.
  • Risk management experience in market, credit risk and/or liquidity risk preferred.
  • Experience with project or process management.
  • Higher degrees or other qualifications related to above areas will be advantageous.

Responsibilities

  • Contribute to end-to-end risk reporting processes, ensuring accuracy, timeliness, and regulatory compliance.
  • Collaborate with cross-functional teams to deliver efficient committee reporting processes.
  • Participate in projects for innovative solutions to develop risk reporting capabilities and solve risk data problems, including interactive visualization tooling.
  • Design and implement risk infrastructure projects to enhance data management and reporting tooling capabilities.
  • Contribute to strategic Firm Risk Management communication by developing comprehensive risk reporting capabilities.
  • Develop presentation materials for senior management committees.

Skills

Analytical skills
Project management
Communication skills
Financial risk knowledge
Attention to detail
Independent work
Under pressure
Excel
PowerPoint

Education

Bachelor's/Master's degree preferred

Tools

Excel
PowerPoint

Job description

Morgan Stanley seeks a professional to join the Risk Analysis and Reporting team within Firm Risk. You will perform detailed risk analysis, design and implement strategic reporting solutions, and deliver risk reporting to senior management across multiple regions.

The role requires a strong foundation in economics, mathematics, statistics or programming, with 3+ years in finance/risk or related fields, and the ability to work in a multidisciplinary team. Base pay is competitive with incentives.

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Incentive compensation
Discretionary bonuses
Health benefits