Senior Financial Risk & Data Governance Analyst

RiseMe

Kalispell (MT)

On-site

USD 98,000 - 120,000

Full time

3 days ago
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Job summary

RiseMe is seeking an experienced Financial Risk Analyst to support enterprise risk reporting, analytics, and governance across the organization. You will prepare risk analytics, brief leadership, and help enhance the Bank's risk reporting program.

The role requires strong quantitative skills, data governance experience, and ability to develop executive-level presentations on risk posture and macro trends.

Qualifications

  • Bachelor's degree in Economics, Finance, Statistics, Mathematics, Actuarial Sciences, Engineering, or other quantitative discipline.
  • 5 years of progressively responsible experience in banking, financial analysis, enterprise risk reporting or related field.
  • Advanced Excel and Power BI skills.
  • Experience creating dashboards and management reports.
  • Understanding of bank financial risks.

Responsibilities

  • Develop, govern, and enhance the Bank's Enterprise Risk Management reports including Risk Appetite Statement with executive briefings.
  • Provide second line of defense oversight across business lines to identify and mitigate risk.
  • Lead reporting projects, dashboards, data quality, analytics, and automation with risk owners.
  • Ensure compliance with laws and bank policies; communicate risk to leadership.

Skills

Statistical tools
Analytical/quantitative skills
Excel
Power BI
Dashboard creation
Executive-level communication
Presentation skills
Reading regulations

Education

Bachelor's degree in quantitative field

Tools

Power BI
Tableau
Cognos
SQL

Job description

RiseMe is seeking an experienced Financial Risk Analyst to support enterprise risk reporting, analytics, and governance across the organization. You will prepare risk analytics, brief leadership, and help enhance the Bank's risk reporting program.

The role requires strong quantitative skills, data governance experience, and ability to develop executive-level presentations on risk posture and macro trends.

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