About this role
The team is seeking an Investment Risk Analyst with a strong background in data validation and maintenance. The ideal candidate will support specific data models and asset class focus while ensuring the integrity and quality of data. This role requires a keen analytical mindset and proficiency in financial risk management.
Key Responsibilities:
- Identify, reconcile, and resolve low complexity data issues within specified data models.
- Analyze existing internal tools and data warehouses to confirm and enhance data quality.
- Review and improve automated validation controls to ensure data accuracy.
- Assist with the setup of new accounts and ensure compliance with internal standards.
- Generate and run existing standard reports to support risk assessment activities.
Required Skills & Qualifications:
- Bachelor’s degree in Finance, Economics, or a related field.
- Professional certifications such as CFA or FRM are highly preferred.
- Proficiency in SQL and Python for data analysis and reporting.
- Strong analytical skills with attention to detail.
- Excellent communication skills to collaborate with cross-functional teams.
Experience:
- Minimum of 3-5 years of experience in investment risk analysis or a related field.
What we offer:
- Opportunity to work with a dynamic team in a fast-paced environment.
- Professional development and growth opportunities.
- A collaborative and inclusive workplace culture.
Applications are read by our talent team, usually within two working days.
If you look like a fit we will call you, and you will hear from us either way.