





Tier-1 bank, metro location, and mid-level generalist analytics role with common BI skillset.
Requires finance/risk domain knowledge and regulatory familiarity, limiting cross-industry transferability.
Explicit 2+ years requirement plus domain experience and BI tech expectations increase screening rigor.
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Conduct less complex risk analytics projects including data extraction, manipulation, statistical and financial modeling to support risk management.
Coordinate and consolidate regular performance reports and present solutions for data reconciliation and production issues.
Collaborate with Risk, Technology, and Compliance teams while supporting policy governance, regulatory requests, and risk reporting improvements.
Minimum 2+ years of Risk Analytics experience or equivalent via education, training, or military experience.
Experience with Microsoft Fabric, SQL, Power BI, and semantic modeling preferred but not strictly mandatory.
Work is focused on supporting risk data, regulatory compliance, and reporting; familiarity with Capital Markets and risk regulation is preferred.
Notice period: Not explicitly mentioned in the JD.
Experience delivering medium risk-level risk analytics projects with independent judgment and medium complexity statistical/financial modeling.
Able to engage cross-functional stakeholders including Risk, Technology, and Compliance to drive data governance and reporting solutions.
Skilled in supporting scalable self-service BI environments with data consolidation, quality improvements, and automation for risk insights.