Financial Risk Analyst – M&A Exposure
📍 London | 💼 Permanent | 💰 Up to £100,000
We’re partnering with a leading financial services firm to hire a Financial Risk Analyst supporting activity across Mergers & Acquisitions. This is a standout opportunity to step into a broad, high-impact role with exposure across multiple risk disciplines.
You’ll work closely with senior stakeholders to assess and manage risk throughout the M&A lifecycle, gaining visibility across complex transactions and strategic decision-making.
Key Responsibilities
* Assess and monitor market risk, counterparty credit risk, liquidity risk, and operational risk across M&A transactions
* Support due diligence processes, including risk identification and mitigation strategies
* Partner with front office, finance, and legal teams on transaction execution
* Produce risk analysis, stress testing, and scenario modelling
* Contribute to and enhance risk frameworks and methodologies
Requirements
* Experience in Market Risk, Counterparty Credit Risk, Liquidity Risk or Operational Risk
* Strong analytical skillset with experience in risk modelling and reporting
* Background within financial services (banking, brokerage, or investment firm)
* Strong stakeholder management and communication skills
Why Apply?
This role offers a rare opportunity to broaden your risk expertise across multiple disciplines while gaining hands-on exposure to M&A activity. You’ll move beyond a siloed role into a position with real strategic impact.
👉 If you’re currently a Market Risk Manager or Counterparty Credit Risk Analyst, I strongly encourage you to apply—this is an exciting opportunity to expand your scope and accelerate your career.