Job Description
Our client, a leading financial institution, is seeking two Risk Analyst II professionals to join their Market Risk & Counterparty Analytics team. Reporting to the Group Manager II, Regulatory Reporting, you will play a key role in supporting regulatory reporting mandates, including H4 Collateral, Securities Holding Return, and other market risk activities. This role is ideal for professionals with experience in collateral and liquidity risk, who are looking to develop expertise in regulatory reporting, analytics, and risk management while interacting with senior management.
The Market Risk team provides independent oversight of market, counterparty credit, and liquidity risk, ensuring that significant risks are measured, reported, and managed effectively. You will contribute to process improvements, infrastructure changes, and analysis that helps the Bank meet its risk objectives.
Advantages
•Work directly with senior management and key stakeholders.
The Market Risk team provides independent oversight of market, counterparty credit, and liquidity risk, ensuring that significant risks are measured, reported, and managed effectively. You will contribute to process improvements, infrastructure changes, and analysis that helps the Bank meet its risk objectives.
Advantages
•Work directly with senior management and key stakeholders.
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