46 Remote Senior Financial Analyst Risk Management jobs in whatjobs
Senior Financial Analyst (Risk Management)
Posted 19 days ago
Job Viewed
Job Description
Responsibilities:
- Develop and implement robust financial risk assessment frameworks and methodologies.
- Analyze financial data to identify potential risks, including market risk, credit risk, operational risk, and liquidity risk.
- Monitor key risk indicators (KRIs) and report on emerging risk trends.
- Conduct stress testing and scenario analysis to evaluate the impact of adverse market conditions.
- Contribute to the development and refinement of risk models and control processes.
- Prepare comprehensive reports and presentations for senior management and regulatory bodies on risk exposure and mitigation strategies.
- Collaborate with various departments to understand their risk profiles and provide guidance on risk management best practices.
- Ensure compliance with relevant financial regulations and industry standards.
- Stay updated on best practices in financial risk management and evolving regulatory landscapes.
- Assist in the development and implementation of risk mitigation plans and policies.
- Evaluate the effectiveness of existing internal controls and recommend improvements.
Qualifications:
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field. A Master's degree or professional certification (e.g., CFA, FRM) is highly preferred.
- Minimum of 6 years of experience in financial analysis, risk management, or a related role within the banking or financial services sector.
- Strong understanding of financial markets, instruments, and risk management principles.
- Proven experience with quantitative analysis, financial modeling, and data visualization tools (e.g., Excel, SQL, Python/R).
- Excellent analytical, problem-solving, and critical thinking skills.
- Exceptional written and verbal communication skills, with the ability to articulate complex financial concepts clearly.
- Demonstrated ability to work independently, manage deadlines, and take initiative in a remote work environment.
- Familiarity with regulatory frameworks such as Basel III, IFRS 9, or similar.
- Experience in report writing and presenting findings to executive-level stakeholders.
- High level of integrity and attention to detail.
- Proactive approach to identifying and addressing potential financial risks.
Senior Financial Analyst - Risk Management
Posted 19 days ago
Job Viewed
Job Description
Responsibilities:
- Analyze financial data to identify and assess various types of risks.
- Develop and implement risk management strategies and policies.
- Prepare detailed risk reports and present findings to senior management.
- Build and maintain financial models for risk assessment and forecasting.
- Monitor market trends and regulatory changes impacting financial risk.
- Collaborate with cross-functional teams to implement risk mitigation measures.
- Ensure compliance with relevant financial regulations.
- Provide insights and recommendations for improving risk management processes.
- Master's degree in Finance, Economics, or a related quantitative field.
- Minimum of 6 years of experience in financial analysis, with a focus on risk management.
- Strong knowledge of financial markets, instruments, and risk management principles.
- Proficiency in financial modeling, data analysis, and statistical software.
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong communication and presentation abilities.
- Understanding of regulatory requirements in the financial sector.
- CFA or FRM certification is a plus.
- Ability to work independently and manage multiple priorities in a remote environment.
Senior Financial Analyst - Risk Management
Posted 19 days ago
Job Viewed
Job Description
Responsibilities:
- Conduct comprehensive financial risk assessments, including market risk, credit risk, and operational risk.
- Develop and implement robust financial models to forecast potential financial exposures and evaluate investment strategies.
- Analyze financial statements, performance metrics, and market data to identify trends and potential risks.
- Prepare detailed financial reports, presentations, and recommendations for senior management.
- Assist in the development and execution of risk mitigation strategies and contingency plans.
- Ensure compliance with financial regulations, industry standards, and internal policies.
- Monitor and analyze key risk indicators (KRIs) and implement necessary actions.
- Collaborate with various departments, including finance, compliance, and operations, to gather data and provide financial insights.
- Stay informed about economic conditions, market developments, and regulatory changes impacting the financial sector.
- Contribute to the continuous improvement of financial reporting and risk management processes.
- Support internal and external audits related to financial risk.
- Mentor junior analysts and provide guidance on financial analysis techniques.
- Master's degree in Finance, Economics, Accounting, or a related quantitative field.
- 5+ years of progressive experience in financial analysis, risk management, or a related role within the banking or financial services industry.
- Strong understanding of financial markets, investment instruments, and risk management principles.
- Proficiency in financial modeling, forecasting, and data analysis tools (e.g., Excel, SQL, Python/R for financial analysis).
- Excellent analytical, critical thinking, and problem-solving skills.
- Strong communication and presentation skills, with the ability to convey complex financial information clearly and concisely in a remote setting.
- Experience with regulatory requirements (e.g., Basel Accords, IFRS) is highly desirable.
- Ability to work independently and manage multiple priorities effectively.
- Professional certifications such as CFA, FRM, or PRM are a strong asset.
Senior Financial Analyst - Risk Management
Posted 19 days ago
Job Viewed
Job Description
Responsibilities:
- Analyze financial data to identify and assess potential risks, including market risk, credit risk, operational risk, and liquidity risk.
- Develop and implement risk management strategies and policies in line with regulatory requirements and business objectives.
- Create and maintain financial models to quantify risk exposures and forecast potential losses.
- Monitor key risk indicators (KRIs) and prepare regular reports for senior management and regulatory bodies.
- Conduct stress testing and scenario analysis to evaluate the impact of adverse market conditions.
- Collaborate with various departments to ensure risk management best practices are integrated into business processes.
- Stay abreast of changes in financial regulations and industry standards impacting risk management.
- Develop and recommend hedging strategies and other risk mitigation techniques.
- Assist in the development and implementation of risk management systems and tools.
- Provide guidance and training to junior analysts on risk assessment methodologies.
- Ensure compliance with all relevant internal policies and external regulations.
- Communicate findings and recommendations clearly and concisely to stakeholders at all levels.
- Bachelor's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field. A Master's degree or professional certification (e.g., CFA, FRM) is highly desirable.
- Minimum of 5 years of experience in financial analysis, with a significant focus on risk management within the banking or financial services sector.
- Strong understanding of financial markets, instruments, and risk management principles.
- Proficiency in quantitative analysis, financial modeling, and statistical techniques.
- Expertise in using financial software and analytical tools (e.g., Excel, SQL, Python, R, specialized risk management platforms).
- In-depth knowledge of financial regulations (e.g., Basel Accords).
- Excellent analytical, problem-solving, and critical thinking skills.
- Strong communication, presentation, and interpersonal skills.
- Ability to work independently and manage multiple projects in a remote environment.
Senior Financial Analyst - Risk Management
Posted 19 days ago
Job Viewed
Job Description
Responsibilities:
- Analyze and report on various financial risks, including market, credit, and operational risks.
- Develop and implement sophisticated risk management models and methodologies.
- Conduct scenario analysis and stress testing to assess potential financial impacts.
- Ensure compliance with regulatory requirements and internal policies.
- Collaborate with business units to identify and mitigate emerging risks.
- Prepare comprehensive risk reports for senior management and stakeholders.
- Contribute to the development and enhancement of risk management frameworks.
- Stay abreast of industry trends and best practices in financial risk management.
- Manage and mentor junior analysts in the risk department.
- Proactively identify opportunities for process improvement.
Senior Financial Analyst - Risk Management
Posted 19 days ago
Job Viewed
Job Description
Responsibilities:
- Develop, implement, and maintain robust financial risk management frameworks and policies.
- Conduct comprehensive analysis of financial data to identify, assess, and quantify various financial risks (e.g., market risk, credit risk, operational risk, liquidity risk).
- Monitor key risk indicators (KRIs) and develop early warning systems to flag potential issues.
- Perform stress testing and scenario analysis to evaluate the impact of adverse market conditions on the bank's financial position.
- Prepare detailed risk reports and presentations for senior management, the board of directors, and regulatory bodies.
- Collaborate with business units to understand their risk exposures and assist in developing mitigation strategies.
- Ensure compliance with all relevant regulatory requirements and industry best practices related to financial risk management.
- Develop and refine risk models and methodologies for measuring and managing risk.
- Participate in internal and external audits related to risk management.
- Stay current with financial market trends, economic developments, and emerging risks.
- Provide guidance and training to junior analysts on risk management principles and techniques.
- Contribute to the development of the bank's overall risk appetite and strategy.
- Bachelor's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field; Master's degree or MBA preferred.
- Minimum of 6 years of progressive experience in financial analysis, with a strong focus on risk management within the banking or financial services sector.
- In-depth knowledge of financial risk management principles, methodologies, and regulatory requirements (e.g., Basel Accords).
- Proficiency in financial modeling, data analysis, and statistical software (e.g., Excel, SQL, Python, R).
- Experience with risk management tools and platforms.
- Strong analytical, problem-solving, and critical thinking skills.
- Excellent written and verbal communication skills, with the ability to present complex information clearly and concisely.
- Demonstrated ability to work effectively both independently and as part of a team in a professional office environment.
- Professional certifications such as FRM (Financial Risk Manager) or PRM (Professional Risk Manager) are highly desirable.
- Strong understanding of banking operations and financial products.
Senior Financial Analyst - Risk Management
Posted 19 days ago
Job Viewed
Job Description
Key Responsibilities:
- Conduct in-depth financial analysis to identify, assess, and quantify various types of financial risks (e.g., credit, market, operational, liquidity).
- Develop and implement risk management frameworks, policies, and procedures in line with regulatory requirements and best practices.
- Prepare comprehensive risk assessment reports, including analysis of trends, potential impacts, and recommendations for mitigation.
- Monitor key risk indicators (KRIs) and ensure timely reporting to senior management and relevant committees.
- Support the development and stress testing of financial models to evaluate the institution's resilience to adverse economic conditions.
- Ensure compliance with relevant financial regulations (e.g., Basel III, IFRS 9) and internal policies.
- Collaborate with internal audit and external regulators during risk-related reviews and examinations.
- Provide financial insights and strategic recommendations to support business decision-making and risk appetite.
- Assist in the development and implementation of capital adequacy assessments and planning.
- Stay updated on evolving financial regulations, market dynamics, and emerging risk areas.
- Mentor junior analysts and contribute to the continuous improvement of risk management processes.
Qualifications:
- Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field; Master's degree is a plus.
- Minimum of 5-7 years of progressive experience in financial analysis, risk management, or regulatory compliance within the banking or financial services industry.
- Strong understanding of financial instruments, capital markets, and banking operations.
- Proficiency in financial modeling, data analysis, and statistical software.
- Knowledge of relevant regulatory frameworks (e.g., central bank guidelines, international standards).
- Excellent analytical, critical-thinking, and problem-solving skills.
- Strong communication and presentation skills, with the ability to convey complex financial information clearly.
- Ability to work independently and manage multiple priorities effectively in a fully remote setting.
- Professional certifications such as CFA, FRM, or PRM are highly desirable.
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Senior Financial Analyst - Risk Management
Posted 19 days ago
Job Viewed
Job Description
Senior Financial Analyst, Risk Management
Posted 19 days ago
Job Viewed
Job Description
Senior Financial Analyst, Risk Management
Posted 19 days ago
Job Viewed
Job Description
Responsibilities:
- Develop and implement sophisticated financial models to assess and forecast various types of risk, including market, credit, and operational risk.
- Conduct thorough analysis of financial data to identify trends, anomalies, and potential areas of concern.
- Prepare comprehensive reports and presentations on risk exposure, mitigation strategies, and regulatory compliance for senior management and relevant committees.
- Collaborate with business units to understand their risk profiles and implement appropriate control measures.
- Monitor the effectiveness of existing risk management frameworks and recommend enhancements.
- Stay updated on evolving financial regulations, industry best practices, and emerging risks.
- Assist in the development and testing of business continuity and disaster recovery plans.
- Support internal and external audits by providing necessary documentation and analysis.
- Utilize advanced data analysis tools and techniques to derive actionable insights.
- Contribute to a culture of risk awareness and proactive risk management throughout the organization.
- Bachelor's degree in Finance, Economics, Mathematics, or a related quantitative field. A Master's degree or relevant professional certification (e.g., CFA, FRM) is highly desirable.
- Minimum of 6 years of experience in financial analysis, risk management, or a related role within the banking or financial services sector.
- Proven expertise in financial modeling, statistical analysis, and quantitative methods.
- Strong understanding of financial products, markets, and regulatory frameworks (e.g., Basel Accords).
- Proficiency in financial software, analytical tools (e.g., Excel, SQL, Python, R), and data visualization platforms.
- Excellent analytical, problem-solving, and critical thinking skills.
- Exceptional written and verbal communication abilities, with the capacity to explain complex financial concepts clearly.
- Demonstrated ability to work independently and manage multiple priorities in a remote setting.
- High degree of accuracy and attention to detail.