Job Summary
A company is looking for a Financial Risk Analyst.
Key Responsibilities
- Monitor, prepare, and develop reports related to portfolio financial performance
- Analyze and enhance existing predictive models through variance analyses and model governance
- Conduct analyses that evaluate and enhance portfolio financial performance
Required Qualifications
- Degree in Data Science, Mathematics, Statistics, Computer Science, Finance, or a related field preferred, or equivalent work experience
- One to three years of experience in a credit card/financial services environment preferred
- Familiarity with programming languages such as Python, T-SQL, or R required
- Basic to intermediate experience with Python, T-SQL, and SSRS preferred but not required
- Proficient knowledge of standard office equipment and Microsoft products
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