Financial Institution looking for Risk Analyst CT recruitment
Responsibilities:
Working closely with businesses and cross-functionally with Risk, Finance, IT and Regulatory teams to source, validate, analyze, or report on key portfolio related metrics and attributes for senior leadership, ERMC, regulators, etc.
Responsible for aggregating and validating commercial credit investment risk metrics
Responsible for aggregating and validating portfolio growth and concentration, negative watch
Become expert in risk data definitions and familiarity with risk key metrics across multiple business products
Support regulatory and ad hoc risk reporting requests
Assist in management and support of key projects objectives, scope, deliverables
Requirements:
Bachelor's Degree in business or a relate field
Strong project management skills and proven ability to work with various levels of management and external resources.
Excellent written verbal communication skills, including strong PowerPoint and Excel skills.
Strong problem solving skills; ability to critically think and systematically analyze and detect patterns, identify root causes and design creative solutions.
Must be a self- starter with ability to multi-task and work in environment dealing across multiple domestic and global GECC businesses.
Excellent work ethic with high energy level, motivation, and enthusiasm
Please send your resume in Word doc format to Mairin with Huxley Associates for immediate consideration.
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