Description:
The company is a regulated financial brokerage firm. They offer great financial services to our clients and have a comprehensive selection of trading products and services, including CFDs and Exchange-Traded Derivatives.
Roles & Responsibilities:
- Risk Analysis and Reporting: Assist with risk analysis and reporting, including detecting market, credit, operational, and liquidity concerns.
- Risk Assessment: Conduct risk evaluations for departments, new products, and business processes to ensure alignment with the organization's risk tolerance.
- Documentation and Compliance: Manage documents and company guidelines, maintain compliance with regulations, and document findings and analysis.
- Business Continuity: Assist in developing and implementing the firm's business continuation strategy, including testing and education for all employees.
Expectations & Requirements:
- A bachelor's degree in finance, economics, mathematics, or another relevant discipline.
- Understanding of financial markets, risk management concepts, and industry rules and regulations.
- Strong quantitative and mathematical abilities, especially expertise with Excel.
- Strong communication and presentation abilities for reporting and explaining results.
- Detail-oriented with excellent problem-solving skills.