





Strong Tier-1 bank brand plus mid-level analytics role attracts many qualified applicants.
Requires specialized risk, P&L, and regulatory experience, limiting cross-industry transferability.
Explicit 4+ years requirement plus regulatory, valuation and control expertise makes screening stringent.
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Lead or participate in analytics initiatives focused on Risk Analytics and Product Control, including P&L production, attribution, and commentary for Credit trading desks.
Review, analyze, and reconcile valuation inputs, trade data, and reports to ensure financial reporting accuracy and balance sheet substantiation.
Resolve valuation, data, and production issues while collaborating cross-functionally to meet risk reporting, compliance, and regulatory requirements. May lead projects and mentor junior staff.
4+ years of Risk Analytics experience, demonstrated through work experience, training, education, or military experience.
Experience in risk reporting, modeling strategies, and understanding regulatory compliance related to financial products and controls.
Not explicitly mentioned in the JD: specific degree requirements, location, or notice period.
Not explicitly mentioned in the JD: mandatory technical skills beyond risk analytics and financial control knowledge.
Has experience working with Credit trading desks and understanding of P&L attribution and financial control processes.
Able to independently analyze complex valuation and reconciliation issues and enhance control frameworks.
Proficient in cross-team collaboration involving Finance, Risk, Front Office, and Technology with a focus on improving risk analytics and reporting accuracy.