





Strong Tier-1 brand, metro location, mid-level analytics role with broad skill requirements increases applicant competition.
Industry-specific valuation, P&L, and regulatory control expertise required, reducing cross-industry transferability.
Explicit 2+ years requirement plus domain-specific valuation, product control, and regulatory experience enforces strict filtering.
Login to See Your Match Score
Create a free account or log in to unlock your CV match score across:
Participate in data analysis, modeling, and reconciliation improvements within Risk Management and Product & Valuation Control.
Review trade data, valuation inputs, and controls to ensure accurate financial reporting and support P&L and valuation control processes for trading and banking desks.
Collaborate with Front Office, Risk, Compliance, and Operations teams to resolve discrepancies, support regulatory requests, and improve process accuracy and automation.
Minimum 2 years of Risk Analytics experience or equivalent.
Experience with Product Control or Valuation Control is desired but not mandatory.
Ability to conduct financial modeling, data reconciliation, and reporting on daily to annual timelines.
Work Experience Required: 2+ years in relevant analytics or control functions.
Experienced in mid-level risk and valuation control functions with capability to work independently on medium-risk deliverables.
Strong understanding of systems and data flows across Front Office, Risk, and Finance to identify issues effectively.
Comfortable collaborating across multiple teams and handling regulatory, policy governance, and audit-support documentation.