Job Overview
We are seeking a highly skilled and analytical Senior Risk Analyst to join our dynamic team within the financial services sector. The ideal candidate will possess a strong background in risk analysis and quantitative methods, with the ability to leverage data mining and statistical analysis to inform strategic decision-making. This role requires excellent negotiation skills and a deep understanding of banking operations, ensuring that we effectively manage risks while supporting business objectives.
Duties
* Conduct comprehensive risk assessments to identify potential threats and vulnerabilities within financial operations.
* Utilise data mining techniques to extract valuable insights from large datasets, enhancing our risk management strategies.
* Develop and implement data models that support quantitative analysis of risk factors, ensuring accuracy and reliability in reporting.
* Perform statistical analysis to evaluate the impact of various risk scenarios on business performance.
* Collaborate with cross-functional teams to negotiate terms and conditions that mitigate risks while fostering business growth.
* Prepare detailed reports and presentations for senior management, clearly articulating findings and recommendations related to risk exposure.
* Stay abreast of industry trends and regulatory changes that may affect risk management practices within the banking sector.
Experience
* Proven experience in risk analysis within the financial services or banking industry is essential.
* Strong proficiency in statistical analysis, data modelling, and quantitative analysis techniques.
* Familiarity with VBA programming for automating data processes is highly desirable.
* Excellent mathematical skills with an ability to interpret complex data sets effectively.
* Demonstrated ability to negotiate effectively in high-stakes environments.
* A degree in finance, mathematics, statistics, or a related field is preferred, along with relevant professional qualifications in risk management. Join us as we navigate the complexities of risk in the financial landscape, contributing your expertise to safeguard our organisation's future while driving innovative solutions forward.
Job Types: Full-time, Graduate
Pay: £24,420.00-£44,734.82 per year
Benefits:
* Additional leave
* Company pension
* Cycle to work scheme
* Flexitime
* Free parking
* Life insurance
* On-site parking
* Sick pay
Work Location: In person