





Strong Tier-1 brand, metro location, and mid-level finance experience increase candidate competition.
Highly domain-specific product control and derivatives expertise limit cross-industry transferability.
Explicit 5+ years, regulated banking environment, and mandatory finance controls make shortlisting highly strict.
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Lead cross-functional initiatives for P&L production, attribution, reporting, and balance sheet substantiation of trading and banking desks.
Own end-to-end control framework for financial products including derivatives, structured products, and securities, ensuring compliance with policies and regulations.
Lead audit engagements, regulatory reporting, and drive control, automation, and data governance improvements while mentoring junior analysts and managing project teams.
Minimum 5+ years of Risk Analytics experience or equivalent demonstrated through work experience, training, military experience, or education.
Experience with financial product control, derivative products, and risk measures supporting trading businesses.
Proficiency in MS Office (Excel, Access), SQL, Tableau, Alteryx, Power BI.
Work Experience Required: 5+ years in Risk Analytics or equivalent.
Has strong background in financial analytics, reporting, and product control within large banking environments.
Experienced in strategic process improvement, change management, and driving enterprise-wide initiatives across teams.
Capable of leading teams and mentoring junior analysts with proven ability to collaborate effectively with front office, risk, and operations partners.