





Tier‑1 brand, metro location, mid‑level generalist analytics role, and broad skill requirements increase competition.
Role requires finance-specific risk, P&L and regulatory experience, making industry background highly relevant.
Explicit 5+ years, domain-specific risk/P&L controls and mandatory analytics tools make filters stringent.
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Lead complex business analysis and modeling initiatives related to risk analytics, including data aggregation, stress testing, and portfolio analysis.
Manage rollout of pilot programs derived from data models and make decisions on product strategies, risk exposure, and compliance requirements.
Produce and validate daily P&L and general ledger reconciliations, resolve issues, support month-end close, and prepare management reports with clear financial commentary.
5+ years of risk analytics experience or equivalent (work experience, training, military, education).
Experience with financial modeling, P&L production, and risk measures related to trading and structured products.
Proficiency in MS Office (Excel, Access), SQL, Tableau, Alteryx, Power BI.
Work Experience Required: 5+ years as explicitly stated; Notice period: Not explicitly mentioned in the JD.
Experienced in strategic process improvement and change management within risk analytics or product control environments.
Strong leadership and interpersonal skills demonstrated by managing teams and stakeholder partnerships across front, middle office, risk, and technology.
Deep understanding of macro risk, XVA, structured products, and regulatory compliance applicable to trading businesses.