Bachelor's degree in Finance, Economics, Statistics, or a related field., Strong analytical skills with proficiency in data analysis tools such as SQL, Excel, and Python., Experience in market risk analysis or financial modeling is preferred., Excellent communication skills to present findings clearly to stakeholders..
Key responsibilities:
Analyze market risk data to identify trends and potential issues.
Prepare detailed reports and presentations for management and stakeholders.
Collaborate with cross-functional teams to enhance risk control measures.
Monitor and assess the effectiveness of existing risk controls and recommend improvements.
Report This Job
Help us maintain the quality of our job listings. If you find any issues with this job post, please let us know.
Select the reason you're reporting this job: