Primary responsibilities include conducting comprehensive risk assessments, developing and implementing risk management strategies, analyzing financial data for potential risks, and preparing detailed risk reports for senior management.
Required experience includes a strong background in financial risk analysis, proficiency in statistical analysis tools, excellent quantitative skills, and a degree in finance, economics, mathematics, or a related field. Candidates should have minimum 2-3 years of professional experience in risk management or financial analysis roles.
The role offers a competitive salary, opportunities for professional development within a global financial institution, exposure to complex risk management challenges, and the chance to work with a prestigious investment management firm that values innovation and strategic thinking.