





High due to recognizable global brand, metro location, generalist mid-level role, and broad applicant pool.
Medium: financial analysis skills transferable, but risk-rating experience adds some industry specificity.
High due to explicit MBA requirement, 3–5 years experience, and mandatory financial modeling skills.
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Evaluate financial and non-financial data to assess risk ratings for entities using financial metrics and industry standards.
Develop and apply financial forecasting models to inform strategic decision-making and support product development.
Collaborate with IT and Analytics teams to design, test, and maintain accurate databases, reports, and tools ensuring compliance with SLAs.
MBA in Finance.
3 to 5 years of experience in financial analysis, risk assessment, and industry benchmarking.
Proficient in financial forecasting and financial modeling.
Proficient in MS Office, especially Excel and PowerPoint.
Experienced in risk rating and financial analysis within industry benchmarks and standards.
Capable of integrating financial insights with product development and strategic business support.
Able to work collaboratively with IT and Analytics teams ensuring operational accuracy and compliance within structured timelines.