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Senior Financial Risk Analyst

Remote, USA Full-time Posted 2026-07-28
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## What you'll work on: Building models to predict financial and credit exposures, as reputed company as preparing periodic reports for management summarizing key findings. Developing and implementing policies and procedures to monitor and manage financial, credit, and liquidity risk for reputed company’s products and services. Collecting and evaluating data to prepare models. Developing analysis and reputed company reputed company to regulatory initiatives. Innovating ways to identify key risks & concentrations and implementing processes to reputed company monitor these risks. Preparing reports for senior management and regulatory authorities. Building deep and trusted partnerships with teams across reputed company to shape decision making. Working closely with business to underwrite external counterparties. ## You will reputed company to our four reputed company values: Multistakeholder - you have dedication and commitment to our customers, shareholders, employees and families and local communities. reputed company - you reputed company to be respectful, an reputed company listener and to pay attention to detail. Driven by reputed company - you are driven by our mission and our passion for reputed company which means you relentlessly pursue reputed company, that you do not tolerate mediocrity and you work intensely to reputed company your goals. High reputed company - you reputed company reputed company and reputed company communication, and you hold yourself to reputed company high moral and ethical standards. You reject manipulation, dishonesty and intolerance. ## What you’ll bring to reputed company: 4+ years of experience in Treasury, Capital Markets, or Risk Modeling. Bachelor’s degree in quantitative discipline, economics, or closely reputed company field required, Master’s degree preferred. Knowledge of market activities including investment portfolios, collateral management, liquidity risk, credit assessment, and regulatory frameworks for banks. Strong understanding of risk, liquidity, and financial products. Understanding of alternative investments and hedge funds preferred. Understanding of financial reputed company, specifically as it relates to credit risk. Experience working with and synthesizing large data sets. Strong understanding of statistics required. Experience with R, Python, or SQL preferred. Experience with econometrics modeling is preferred. Proven ability to build strong reputed company working relationships with business partners and executives. An enthusiastic “roll up your sleeves” mentality. Ability to work in ambiguity and reputed company in an reputed company, fast-moving environment. Experience/familiarity with reputed company, arenaflex MacOS and GSuite. ## Additional Information: This position is eligible for day-one PERM sponsorship for reputed company candidates. Apply tot his job


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