





Tier-1 brand, mid-level generalist analytics role, and metro location increase applicant competition density.
Requires finance-specific P&L, controls, and structured product knowledge, making cross-industry transfer limited.
Explicit 4+ years, domain-specific risk controls experience, and required analytics tooling create strict filters.
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Lead and contribute to risk analytics initiatives focused on data aggregation, forecasting, reporting, and model governance to support trading and structured products businesses.
Own daily P&L production, issue investigation, month-end close activities, and reconciliation controls for equity trading products including structured/exotic products.
Partner with cross-functional teams including front and middle office, risk, valuation, and controllers to resolve breaks, support audits, and implement process improvements and automation.
4+ years of Risk Analytics experience or equivalent through experience, training, military service, or education.
Experience supporting trading and structured products businesses with a deep understanding of risk measures.
Advanced proficiency in MS Office (Excel, Access), SQL, Tableau, Alteryx, Power BI.
Work Experience Required: Minimum 4 years in Risk Analytics.
Experienced in end-to-end risk and P&L controls for equity and structured products in a large financial institution environment.
Able to lead projects, mentor staff, and communicate complex risk analytics and issues effectively across multiple stakeholders.
Practiced in process improvement, automation initiatives, and compliance with risk governance and regulatory requirements.