Investment and Risk Analyst
Listed on 2026-09-14
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Finance & Banking
Financial Analyst, Financial Advisor / Consultant, Risk Manager/Analyst
Job Description
Support daily Profit & Loss (P&L) control activities, ensuring issues are resolved efficiently in collaboration with relevant stakeholders.
Provide clear and insightful briefings to management on realised and anticipated profitability, as well as key risk exposures from a total balance sheet perspective.
Review and enhance critical Middle Office business processes, leveraging modern technology to improve efficiency and operational resilience.
Support the development, ownership and maintenance of analytical products, data products and dashboards, enabling data-driven decision-making across the Front Office and Banking Management.
About The CustomerThis is a great opportunity for someone with a strong combination of financial markets knowledge, quantitative analysis and Python who is interested in working within an international banking environment.
Requirements- 4+ years of experience as an Investment Analyst, Risk Analyst, Market Risk Analyst, Financial Modelling/Quant Analyst or similar
- Strong knowledge of financial instruments, including derivatives
- Good understanding of valuation and profitability measurement concepts
- Strong Python Programming Skills – Essential
- Experience analysing the business logic behind financial/business processes
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