Financial Risk Manager
Our team is seeking a skilled and analytical Financial Risk Manager to join our advisory services. As a key member of our team, you will be responsible for managing a portfolio of projects and delivering high-quality services to our clients.
Job Description :
We are looking for an experienced professional with a strong background in finance and risk management. You will work closely with our directors and partners to provide valuation and advisory services to clients. Your expertise will be essential in modelling default risk and developing valuation models for complex financial products.
Key Responsibilities :
- Manage a portfolio of projects and deliver services to clients
- Work closely with directors and partners on engagements
- Develop and maintain relationships with clients
- Identify opportunities for enhancing our delivery and providing additional services
- Assist with the development of valuation models and modelling techniques for financial assets
Requirements :
Master's degree in Finance, Economics, Mathematics, Statistics, Engineering or Computer ScienceStrong professional interest in finance and financial instrument valuation, hedging and structuringSignificant valuation or credit risk experience gained from a major financial institution or professional services firmIntellectual curiosity and analytical mind-setStrong knowledge of mathematics as applied to finance and hands-on experience of valuation of financial products or credit risk modellingBenefits :
Opportunity to work with a reputable advisory firmCollaborative and dynamic work environmentProfessional development and growth opportunitiesCompetitive salary and benefits package