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Senior Manager, Financial Risk Modelling
Job Description & How to Apply Below
Join HOOPP as a Senior Manager for Risk Analytics and Modelling, specializing in critical financial risk strategies. Empower the organization in its mission to secure healthcare workers' futures.
Under the guidance of the Director, you'll focus on instrument risk modelling, forge strong relationships across departments, and design innovative risk assessment tools. Collaborate with traders and finance experts to optimize the risk management system, ensuring that all financial risks are effectively monitored and understood.
Key Responsibilities:
• Model different financial instruments within risk frameworks
• Collaborate with teams to integrate innovative tools
• Implement state-of-the-art measurement instruments
• Validate and document the performance of models
• Communicate risk insights through detailed reports
Requirements:
• Graduate degree in Finance, Economics, or related discipline
• Minimum 5 years of relevant risk management experience
• Practical experience with financial instrument modelling
• Proficient in Python and risk analysis tools
• Strong analytical capabilities and communication skills
Contribute your expertise to the innovative risk management team at HOOPP, enhancing financial security and stability.
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Position Requirements
10+ Years
work experience
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