**Job Opportunity in Risk Management**
To succeed in this role, you will be working with a range of regulatory projects within our Financial Services Risk Management team.
* Providing high-quality risk management services for financial institutions with efficiency;
* Supporting the definition and implementation of governance models, policies, processes and procedures to meet local, national and global requirements;
* Assisting in establishing, monitoring, evaluating and interpreting data for risk management purposes;
* Implementing key regulatory requirements and guidelines effectively;
This is a senior-level position that requires a degree in Management, Economics, Finance, Statistics or Mathematics, along with 3-4 years of experience in risk management analysis and projects mainly in the banking sector. Relevant experience in statistical model development and validation is valued.
Skill Requirements:
* Strong knowledge of risk model development and validation techniques;
* Understanding of industry-wide modeling practices and trends;
* Proficiency in programming languages such as SAS, SQL, R, VBA;
Professional Qualifications:
* A bachelor's degree in Management, Economics, Finance, Statistics, or Mathematics;
* Excellent communication skills and ability to work well with clients;
* Strong analytical skills with attention to detail;
What You Will Achieve:
* Deliver high-quality risk management services to clients;
* Support the development of governance models and ensure compliance with regulatory requirements;
* Contribute to the establishment and maintenance of effective risk management frameworks;
* Enhance your skills and expertise in risk management through continuous learning and professional development;
About the Role:**
This role offers a unique opportunity to work on challenging regulatory projects and develop your skills in risk management. If you have a passion for risk management and are looking for a career-advancing opportunity, we encourage you to apply.