Senior Financial Analyst - Credit Risk Modelling
Taking a leading role in risk and regulation related projects, you will focus on developing and implementing credit modelling strategies. This is an opportunity to showcase your expertise in financial risk analysis and drive business growth.
* Lead the execution of engagements, providing expert advice on credit risk modelling and analytics;
* Develop and implement cutting-edge credit risk models, driving business growth and identifying new opportunities;
* Mentor and develop more junior colleagues, sharing your knowledge and expertise;
* Collaborate with the wider network to deliver innovative solutions and thought leadership on risk and regulation topics;
* Pursue professional development, enhancing your skills and expertise in quantitative finance and data analysis;
* Broaden your professional network, engaging with local financial services communities and industry leaders.
About You:
* Proven experience in credit risk modelling, model development and/or validation (IRB or IFRS9) – ideally 5+ years;
* Advanced degree in a quantitative discipline (MSc or Ph.D.) and strong academic record;
* Proficiency in advanced software modelling tools, including SAS, SQL, Python or R;
* Demonstrated ability to lead model development and validation from end-to-end, with excellent planning and execution skills;
* Aptitude for effective communication, conveying complex concepts to non-expert audiences;
* Critical thinking and problem-solving skills, identifying challenges and developing solutions throughout engagements.
We offer a dynamic work environment that fosters collaboration and innovation. As a Senior Financial Analyst, you will have the opportunity to work on high-profile projects, develop your skills and expertise, and contribute to business growth.