Title: Junior Risk AnalystLocation: Dublin, IrelandReporting to: Chief Risk Officer (CRO) & Risk Manager (RM)Contract Type : Full time & PermanentRole Summary:As a Junior Risk Analyst, you will assist in the identification, assessment, monitoring, and reporting of risks across the firm. You will work with your risk team colleagues and other departments to ensure that risk exposures are understood and managed in line with regulatory expectations and internal policies.Key ResponsibilitiesAssist in the effective implementation of the Firm's Risk Management Framework, Policies and Procedures across the firm.Assist in the preparation of risk reports for management reportingAssist in monitoring key risk indicators, metrics and limits including daily monitoring of market and credit risk exposuresAssist in the maintenance of risk registers and support incident tracking and resolutionAssist in monitoring and reporting significant risks and emerging risks to which the Firm is or may be exposed toPromote a strong risk culture throughout the FirmAssist in ensuring the Risk Management Processes and tools, and particularly the Risk Control Self Assessments (RCSA) are effectively managed to adequately identify, assess, mitigate, and monitor risks to which the Firm is exposed.Assist in ensuring that mitigation strategies and Control Action Plans (CAPs) for identified risks are effectively implemented. Requirements:Skills & CompetenciesDegree in business discipline or equivalent1+ years' experience in Regulated Financial Services, familiarity with MiFID II and other relevant EU regulations is advantageousStrong analytical and problem-solving skillsProficiency in Excel, MS office apps and knowledge of data analytics toolsEffective communication and organisational skillsAbility to work independently and as part of a teamHigh attention to detail and good organisational skills Please note that under the Central Bank of Ireland's Fitness and Probity Standards, this role is a Control Function 2 (CF2) role - Ensuring, controlling, or monitoring compliance by a regulated financial service provider with its relevant obligations