Financial Risk Analyst Resume Samples

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ZR
Z Reichel
Zoie
Reichel
41960 Gloria Lights
San Francisco
CA
+1 (555) 957 1351
41960 Gloria Lights
San Francisco
CA
Phone
p +1 (555) 957 1351
Experience Experience
Phoenix, AZ
Financial Risk Analyst
Phoenix, AZ
Corwin Inc
Phoenix, AZ
Financial Risk Analyst
  • Identifying risks and monitoring key Investment decisions associated with these
  • Adhering to operating standards and best practices
  • Monitoring any Key Investment decisions and identifying and controlling any risks concerned
  • Assessing emerging and macro risks, including new products or significant process / business changes and propose effective solutions
  • Perform Portfolio Parameter Estimation Analysis, variance analysis and root cause analysis on variances and socialize the results with risk partners
  • Under the direction of the Financial Risk Manager, provide financial analysis and assist with special projects regarding risk management issues for any of Baird’s five businesses including risks in Europe, Asia, and the United States
  • Facilitate the collection and aggregation of new business inputs, execute the processes, and maintain controls related to the development of balance sheet and income statement forecasts under various scenarios that support and inform our balance sheet management
New York, NY
Financial & Risk Analyst
New York, NY
Quigley, Botsford and Kling
New York, NY
Financial & Risk Analyst
  • Assisting in the development of new Excel based financial forecasting models
  • Working with the team to implement and document new IFRS 9 compliant loan loss provisioning models
  • Scoping and implementation of migrating selected business reports to BI platforms
  • Monitoring of the new IFRS 9 models and Basel II regulatory capital models
  • Undertaking of Risk reporting including ad hoc Risk reporting
  • Working knowledge of Risk measurement concepts such as Alpha and Volatility
  • Working with the risk model development team to ensure the ongoing validity of risk measurement tools
present
New York, NY
Lead Financial Risk Analyst
New York, NY
Rutherford Inc
present
New York, NY
Lead Financial Risk Analyst
present
  • Assist meaningfully in ensuring the capture of all material risks within platforms, operating units or lines of business
  • Support risk management partners and front-line stakeholders with data analysis, reconciliation, and modeling by both predetermined and proactive means
  • Ensure timely and accurate creation and analysis of predetermined calculations/measurements reporting
  • Answer executive leadership and regulator questions and concerns concerning processes and controls around the entities ERM reporting process
  • Proactively review reporting measures to drive pioneering ways to supplement and/or automate standing practices
  • Ensure verification of the validity of inputs in relation to models, calculations, and related reports
  • Significant involvement in Enterprise Risk Management structure development including but not limited to the procurement of data (both internal AND external), design and execution of numerous tools that calculate the behavior of bank platforms, operating units or lines of business in changing economic conditions over various periods of time
Education Education
Bachelor’s Degree in Finance
Bachelor’s Degree in Finance
University of Virginia
Bachelor’s Degree in Finance
Skills Skills
  • Address analytical inquiries related to variations in risk drivers and risk parameter estimates of a diverse range of underlying consumer products such as Mortgages, Credit Cards, Personal Installment Loans, and Student Loans etc
  • Perform critical User Acceptance Testing (UAT) functions including meticulous analysis of risk parameter results to conclusively ascertain approval/ denial of historical restatement requests into production environment
  • Knowledge of financial markets and financial instruments ; financial risk awareness, CFA, FRM or comparable qualification would be
  • Strong ability to multi-task and deliver results in a fast paced environment
  • Strong organization and analytical skills with an attention to detail
  • Working knowledge of applicable laws, regulations, financial services, and regulatory trends
  • Strong presentation, oral and written communication skills, able to present results in a range of audiences, including senior management
  • Experience in performing both qualitative and quantitative analysis that is insightful beyond experience level, and the ability to manage multiple tasks/projects and deadlines simultaneously
  • Strong understanding of risk management practices and mortgage banking related concepts. Familiar with Mortgage related asset valuation and modeling such as prepayment model, term structure model, mortgage rate model, fallout model etc. Direct experience with a leading mortgage banking system such as Polypaths, QRM
  • Perform User Acceptance Testing (UAT) functions including meticulous analysis of various scenarios and reporting bugs with follow through into production environment
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15 Financial Risk Analyst resume templates

1

Financial Risk Analyst Resume Examples & Samples

  • Address analytical inquiries related to variations in risk drivers and risk parameter estimates of a diverse range of underlying consumer products such as Mortgages, Credit Cards, Personal Installment Loans, and Student Loans etc
  • Review Cluster Validation reports and analyze Delinquency Band Time series of Probability of Default. Review the analytical results with the Risk Coordinators
  • Provide crucial risk parameter and RWA analytical support to businesses to facilitate successful risk parameter signoff and GRD Attestation
  • Drive data quality analysis / data mining / Data Input Prescreening analysis
  • Address any Basel II / Basel III related business inquiries (model, parameters, submissions, technology, finance, reporting etc.)
  • 1+ years’ experience at large financial institution preferred
  • Must be able to write structural query language
  • Oracle SQL skills required
  • SAS programming skills a plus
  • Must possess excellent analytical background and skill sets to understand credit risk modeling and application of data
  • Demonstrated experience in modeling data quality data tracing data mapping statistical analysis econometrics and / or data mining preferred
  • Proficiency in Credit Risk concepts preferred
  • Strong interpersonal/communication skills (oral and written) and confidence to work with risk coordinators, model experts, Credit and Operational Risk Analytics group and all levels of management
2

Financial Risk Analyst Resume Examples & Samples

  • Prepare communication to the field for Month End timeframes, issues or system outage, and updates/ enhancements to applications
  • Perform User Acceptance Testing (UAT) functions including meticulous analysis of various scenarios and reporting bugs with follow through into production environment
  • Monitor and ensure completion of file uploads and signoffs by the global users on a timely basis
  • Carry out internal control checks and balances for all activities, automated and manual
  • Identify opportunities for improvement/automation
  • Maintenance of Procedures, ensuring they are SOX 404 compliant
  • Adhere to escalation process and follow up issues to resolution
  • Adhering to operating standards and best practices
  • Misc. maintenance (periods, new templates, types etc.)
  • 3+ years Finance and Credit Risk experience
3

Financial Risk Analyst Resume Examples & Samples

  • Bachelor’s degree in finance, accounting or business. Graduate degree, CFA, or equivalent a plus
  • Two years or more of experience in an accounting, analyst or related position. Experience in front or middle office equity trading functions strongly preferred
  • Strong interest in and understanding of debt and equity markets
  • Strong analytical and organizational skills with the ability to handle a large volume of assignments
  • Strong accounting and financial modeling background required
  • Strong communication skills including ability to communicate with senior management
  • Solid understanding of corporate finance principles
  • Working knowledge of Microsoft Office, Bloomberg, Crystal Reports, and Beta. SQL or AS400 querying skills a strong plus
  • General knowledge of credit risk and market risk
  • Possess strong work ethic, motivated and a self-starter with a focus on details and meeting strict deadlines
4

Financial Risk Analyst Resume Examples & Samples

  • The development and implementation of internal Risk models for the purpose of monitoring various Risks within the company including Investment, Counterparty and Insurance Risk
  • Monitoring any Key Investment decisions and identifying and controlling any risks concerned
  • Work in Partnership with various other teams throughout the business to monitor and assess any current or emerging Risks
  • Participate in the assessment of emerging and Macro Risks within new business products, processes or significant changes and propose effective policies and procedures to put in place to ensure Risk is kept to a minimum
  • Undertaking of Risk reporting including ad hoc Risk reporting
5

Financial Risk Analyst, Avp-basel Reporting Resume Examples & Samples

  • Incumbent will be a member of a team of analysts and responsibilities will include
  • Address analytical inquiries related to variations in risk drivers and risk parameter estimates of a diverse range of underlying consumer products such as Mortgages, Credit Cards, Personal Installment Loans, Student Loans etc
  • Perform Portfolio Parameter Estimation Analysis, variance analysis and root cause analysis on variances and socialize the results with risk partners
  • Bachelor's degree in quantitative field such as Mathematics, Statistics, Econometrics, Applied Economics or Finance required. Masters or MBA degree preferred
  • 5+ years Finance or Credit Risk or Ops Risk experience
  • 2+ years’ experience at large financial institution preferred
  • Six Sigma or TQM Certification preferred
  • Oracle SQL skills preferred
  • SAS programming skills preferred
  • Must possess excellent analytical background
  • Previous exposure to Basel II or Basel III preferred
  • Experience working with a variety of financial or risk platforms
  • Must be proactive goal-oriented and strategic thinker
6

Financial Risk Analyst Resume Examples & Samples

  • Ongoing Risk Management, ensuring that risks are effectively managed and appropriate policies are implemented throughout the organisation and all the various entities
  • Strong analytical knowledge on various Investment products (including derivatives, fixed income, equity) and risk metrics/techniques (such as VaR, Stress Testing, alpha, beta, tracking error)
  • Working with the risk model development team to ensure the ongoing validity of risk measurement tools
  • Identifying risks and monitoring key Investment decisions associated with these
  • Participating in risk committees and forums to represtent the Risk Management team, and promoiting a culture of ongoing Risk Assessment and Management throughout the business
  • Working with commercial teams, including product development, business change and project mangement teams to ensure any product or process changes are compliance with best practice risk measurement
  • Assessing emerging and macro risks, including new products or significant process / business changes and propose effective solutions
  • Reporting to the group and regulator as appropriate
7

Senior Financial Risk Analyst Resume Examples & Samples

  • Deliveryof end to end business reporting and advice for the Insurance and Superannuation ( "I&S" ) division of AMP Group incorporating revenue, volumes, margins, expenses, capital and RoC to LT and Sub LTs
  • Planning and Forecasting forall KPI's for I&S
  • Business Case Reviewand signoff as it applies to I&S
  • Driving key actuarial outputsas required for the I&S portfolio
  • Financial tertiary level qualification is required for this role
  • Post-grad studies including AIAA, CFA, Masters of Finance are highly desired
  • Ideally at least four years of relevant industry experience
  • Experience in and knowledge of the financial services industry
  • Structured products, guarantees and derivatives
  • The wealth management and life insurance industries
  • Asset liability mismatch risks, the approaches to their measurement and management
  • Profit and capital reporting standards for life insurers
  • Stochastic and deterministic valuation methodologies
  • Analysis of profit, capital and profit at risk movements
8

Senior Financial Risk Analyst Resume Examples & Samples

  • Business analysis
  • Risk management knowledge
  • Attribution knowledge
  • Technology background in Windows, Linux, C#, Java, SQL, Perl development
  • Experience measuring risk and working closely with Portfolio Managers
  • Experience with Barra Risk Factor Analysis and FactSet
  • Strong understanding of the “Greeks”
  • Working experience of Asset Management
  • This role will also entail some hands on development
9

Financial Risk Analyst Resume Examples & Samples

  • 1+ year of experience in Operational Risk
  • Microsoft Office/Suite proficient (Access, Excel and PowerPoint)
  • Prior experience in Operational Risk for Banking or Wealth Management
  • Strong knowledge of FINRA rules and regulations
  • Working knowledge of Bloomberg
10

Financial Risk Analyst Resume Examples & Samples

  • Strong quantitative and analytical skills with a Bachelor degree in Finance, Mathematics, Statistics, Economics, Accounting or related field
  • Strong independent critical thinking skills to provide effective challenge to tools developed internally and by vendors
  • Ability to work efficiently and effectively to build strong relations with peers, business line managers, and colleagues across the bank
  • Highly motivated with ability to learn and understand various business lines and their function within the organization
  • Strong background and experience working with complex MS Excel spreadsheets
  • 1 - 3 years
  • Programming background in SAS and familiarity with VBA and SQL are a plus
11

Financial Risk Analyst Resume Examples & Samples

  • Perform independent analysis and review of mortgage banking risk management practices specifically in the risk management of mortgage servicing right portfolio and mortgage pipeline portfolio. Conduct comprehensive oversight to ensure sound risk management
  • Interact with senior leaders and subject matter experts in the areas of market risk, mortgage banking related assets and financial instruments valuation
  • Actively participate in key meetings and review detailed reporting to conclude on the quality of risk management practices and transparency of reporting
  • Effectively challenge the business line’s processes, risk management practices, and policies with well supported analysis and actionable conclusions
  • Review and evaluate policies, procedures, and practices against regulatory guidance and/or best practices
  • Develop well written risk management assessments regarding assigned business lines
  • Understand and stay current with banking regulations that relate directly to the management of assigned risks
  • Bachelor’s degree in Finance, Economics, Math or related field
  • Experience with one or more of the following areas: risk management, interest rate derivatives valuation and/or modeling
  • A self-starter, self-directed and proactive in seeking out work, able to work independently, with limited guidance and oversight
  • Professional designation such as CFA, FRM or equivalent
  • Strong understanding of risk management practices and mortgage banking related concepts. Familiar with Mortgage related asset valuation and modeling such as prepayment model, term structure model, mortgage rate model, fallout model etc. Direct experience with a leading mortgage banking system such as Polypaths, QRM
  • Experience in performing both qualitative and quantitative analysis that is insightful beyond experience level, and the ability to manage multiple tasks/projects and deadlines simultaneously
  • Strong presentation, oral and written communication skills, able to present results in a range of audiences, including senior management
12

Financial Risk Analyst Resume Examples & Samples

  • Lead implementation, reporting, control testing & monitoring, exception/resolution activities and provide guidance to the business line to ensure compliance with applicable policies, laws and regulations
  • Develop and maintain procedures to support policies and program requirements
  • Collaborate with numerous individuals across several divisions, geographies and levels from executives to support staff
  • Support process improvement
  • Five years of combined experience in one or more of the following- public accounting, regulatory, or experience working for a financial services business
  • Location: position to be based in Minneapolis, MN
  • Working knowledge of applicable laws, regulations, financial services, and regulatory trends
  • Experience interpreting and implementing risk program requirements
  • Ability to effectively influence outcomes and sustain challenge as appropriate in interactions with various levels of management
  • Strong organization and analytical skills with an attention to detail
  • Strong ability to multi-task and deliver results in a fast paced environment
  • Strong Microsoft Office (Excel/Word/Powerpoint) skills
13

Financial Risk Analyst Resume Examples & Samples

  • Knowledge of financial markets and derivatives
  • Proficiency in Microsoft Excel/VBA
  • Fluent French recommended
  • Rigor, timeliness and striving for excellence
  • Clear and transparent communication
  • At least 2 years in financial sector
14

Financial Risk Analyst Resume Examples & Samples

  • Knowledge of financial markets and financial instruments ; financial risk awareness, CFA, FRM or comparable qualification would be a plus
  • Understanding of insurance business, especially ALM constraints (Life and Savings)
  • Strong people and communication skills (oral and in writing), especially to senior management and local FRM teams
  • Team spirit and team working
  • Ability to work in an intercultural environment
  • 5 to 7years of relevant experience, with exposure to: financial risk management and/or capital markets and/or asset management and/or asset & liability management,
15

Financial Risk Analyst Resume Examples & Samples

  • 2-3 years of direct relevant experience with financial markets
  • Master degree in Economics, Mathematics or Financial Law
  • Fluent in English – another European language is desirable
  • Knowledge of statistics and econometric models, basic knowledge of interest rate derivatives and commodity derivatives and overall treasury experience
  • Ability to execute independently vanilla FX and commodities transaction - full understanding of pricing mechanism of vanilla instruments
  • Good knowledge of ASC815, Excel and Word, risk management / Treasury management systems
  • Able to work in stressful situations accurately, trustworthy, strong communication skills
16

Senior Financial Risk Analyst Resume Examples & Samples

  • Bachelor’s Degree in Accounting, Finance, or Risk Management
  • Minimum 5 years of accounting and/or commodity risk management experience
  • Self starter with a curious and inquisitive mind with proven ability to challenge and influence changes
  • Ability to communicate effectively with many functional groups and levels – both written and orally
  • Strong computer skills with proficiency in Excel
  • Demonstrated ability to manage multiple priorities/projects effectively
  • Demonstrated strong problem-solving and analytical skills
  • Demonstrated ability to lead cross functional initiatives
17

Financial Risk Analyst Resume Examples & Samples

  • Analysis and monitoring of FAM result and risk consolidation
  • Analysis of IKEA Group result from financing activities
  • Review projects for new investments in FAM
  • Ensure a good level of awareness concerning risk in relation to performance in the Asset Management sphere
  • Ensure activities are conducted effectively and in compliance with our policies & standards as well as relevant regulations and laws
  • Participate in development of internal policies and procedures
  • Support the organisation for all questions related to valuation of financial products
  • Financial audit responsibility: assist the audit process and support resolution of problems
  • Drive potential improvement projects involving Financial Risk Monitoring & Control, ensuring that risks are correctly taken into account
  • Strong interest in the IKEA vision and values (www.ikea.com)
  • Strong analytical/investigation skills
  • Master degree in Finance or similar
  • Min 5 years of experience within a similar role in a banking, pension fund, insurance or corporate environment in particular in the Asset Management area
  • Strong knowledge of risk management (FRM or equivalent is a plus)
  • Deep knowledge of financial products and their valuations (financial modelling)
  • Awareness of how financial markets impact IKEA
  • Awareness of regulatory and legal frameworks
  • Strong presentation and communication skills in English, any other European language would be an asset
18

Financial & Risk Analyst Resume Examples & Samples

  • Experience with statistical packages (VBA, SQL, R, SAS)
  • Experience with Basel II, III and Australian Prudential Standards and associated governance frameworks
  • Assisting in the development of new Excel based financial forecasting models
  • Working with the team to implement and document new IFRS 9 compliant loan loss provisioning models
  • Monitoring of the new IFRS 9 models and Basel II regulatory capital models
  • Scoping and implementation of migrating selected business reports to BI platforms
19

Financial Risk Analyst Resume Examples & Samples

  • Facilitate the collection and aggregation of new business inputs, execute the processes, and maintain controls related to the development of balance sheet and income statement forecasts under various scenarios that support and inform our balance sheet management
  • Leverage behavioral models to evaluate and optimize business strategies across the lifecycle of products/services
  • Conduct statistical/financial analysis on internal and/or external market data to discover the tradeoffs of various assumption impacts on growth, profitability, market share and competitive position
  • Provide financial modeling to evaluate and predict profitability and performance of products and/or services
  • Optimize and recommend pricing strategies for products and services using mathematical modeling techniques
  • Develop predictive modeling projects using data mining techniques for analyzing current and future performance
  • Create financial reports based on the impact of predictive modeling assumptions
  • Develop various financial models and provide cost-benefit analyses for business and strategic opportunities, market share, and profitability
  • Develop and test multiple hypotheses using results from analyses to generate and answer new questions leading to more in-depth understanding of business issue(s) being studied
  • Evaluate/develop/implement analytical techniques and best practices to gain a competitive advantage
  • Coordinate the production of performance reports for management
  • Serve as SME regarding product optimization and risk evaluations
  • Utilize regression techniques/back testing to identify variances and/or deviations from forecasts
  • Identify existing and new issues pertaining to compliance with state and federal regulations to ensure necessary policies, strategies and procedures are implemented
  • Bachelor’s Degree in a related field, or the equivalent combination of training, education and experience
  • Experience in financial modeling, forecasting, cost benefit analysis and cash-flow analysis
  • Working knowledge of statistical methods such as linear and logistic regression, neural networks, decision trees, time-series and forecasting, K-means clustering, survival analysis etc
  • Working knowledge of mathematical optimization techniques such as linear and mixed-integer programming, including experience in stochastic optimization
  • Basic skill in statistical methods/mathematical techniques and related analytical/data collection tools such as SAS, R, Python, SQL, JMP, etc
  • Experience in statistical/risk modeling and forecasting preferably related to financial services
  • Effective skill in building and maintaining financial models, and perform comparative financial modeling using pertinent industry analysis and current assumptions
  • Effective skill researching and analyzing data, processes and trends
  • Experience in working with diverse internal and external contacts
  • Effective analytical/quantitative, reconciliation and deductive reasoning skills
  • Effective skill building effective relationships through rapport, trust, diplomacy and tact
  • Effective skill presenting findings, conclusions, alternatives and information clearly and concisely
  • Effective database and presentation software skills
  • Bachelor's Degree in a related field and/or a relevent combination of training, education and experience
  • FRM (Financial Risk Manager)
  • Demonstrated proficiency in modeling within the QRM framework
20

Financial Risk Analyst Resume Examples & Samples

  • Define, analyze and study financial and operational issues and data - Complex/Difficult
  • Evaluate operational efficiency and effectiveness - Complex/Difficult
  • Facilitate project implementations and Return on Investment - Lead
  • Implement new/enhanced products, services and operational changes - Lead
  • Interpret results of analysis; present recommendations, alternatives and implications - Considerable impact
  • Lead large, advanced multidisciplinary projects & initiatives of considerable business risk & impact in accordance with Navy Federal's PPM standards
  • Perform qualitative and quantitative analysis using analytical techniques, tools, models, simulation, etc. - Advanced
  • Prepare/collaborate on presentations, reports, white papers, etc. - Lead
  • Anticipate business issues and identify solutions - Considerable latitude
  • Lead, guide and mentor less experienced staff
  • Bachelor's Degree in a related field or the equivalent combination of training, education, and experience
  • Experience in leading large projects/initiatives which have business risk and impact
  • Significant experience in leading collaborative work teams
  • Significant experience in problem resolution including determining root cause, scope and scale of issues
  • Significant experience in supervising and leading managerial staff
  • Significant experience in the application of statistical methods, mathematical techniques, forecasting, cost-benefit analysis and related analytical tools
  • Significant experience in working with/for depository and lending institutions
  • Advanced knowledge of data querying, reporting, forecasting, analysis and operations research, including statistical methods and modeling
  • Advanced research, analytical, and problem solving skills
  • Advanced skill analyzing and organizing problems or work processes for technical solutions
  • Advanced skill applying innovative approaches to solve technical design issues
  • Advanced skill following, interpreting and applying relevant data/instructions to guidelines, procedures, practices and regulations
  • Advanced skill in project management to include establishing and leading project teams; managing timelines/deadlines/resources; ensuring successful project implementation
  • Advanced skill interpreting and synthesizing large amounts of information
  • Desired - Advanced knowledge of Navy Federal Project Portfolio Management (PPM) knowledge
  • Desired - Advanced knowledge of credit union operations/processes and procedures
21

Federal Financial Risk Analyst Indianapolis Resume Examples & Samples

  • Typically has 3 or more years of consulting and/or industry experience
  • Ability to work independently, under general guidance
  • Ability to lead project deliverables through to completion
  • Relevant software or application skills to complete job successfully
  • Problem solving and troubleshooting skills with the ability to exercise mature judgment
  • Ability to obtain and maintain the required clearance for this role
22

Lead Financial Risk Analyst Resume Examples & Samples

  • Provide support for internal audits, external reviews (Federal Reserve or OCC), and model validation preservation that requests are managed effectively and efficiently
  • Aid in the timely conclusion of all regulatory and external reporting requirements safeguarding accuracy of data
  • Significant involvement in Enterprise Risk Management structure development including but not limited to the procurement of data (both internal AND external), design and execution of numerous tools that calculate the behavior of bank platforms, operating units or lines of business in changing economic conditions over various periods of time
  • Ensure timely and accurate creation and analysis of predetermined calculations/measurements reporting
  • Support risk management partners and front-line stakeholders with data analysis, reconciliation, and modeling by both predetermined and proactive means
  • Answer executive leadership and regulator questions and concerns concerning processes and controls around the entities ERM reporting process
  • Ensure verification of the validity of inputs in relation to models, calculations, and related reports
  • Assist meaningfully in ensuring the capture of all material risks within platforms, operating units or lines of business
  • Support ad hoc projects as allocated by executive leadership members
  • Develop healthy relationships across the organization to deliver appropriate resolution of open issues relating to key risk assessment assignments
  • Analyze fluctuations in ERM measures to highlight any deviations in risk profile and the probable effects to the platforms, operating units, lines of business or the company/entity
  • Proactively review reporting measures to drive pioneering ways to supplement and/or automate standing practices
  • Strong knowledge of financial services products (residential and/or consumer, specialty, commercial loans, deposits, etc.) and processes preferred
  • Excellent communication skills; both verbal and written
  • Capacity to manage numerous tasks and meet all deadlines without conceding the integrity of the data
  • Expertise in SQL, SAS and experience with other business intelligence tools
  • 2 or more years’ knowledge in tool development or as a Financial and/or Risk Analyst in the Finance, Credit, Risk or Treasury platform of a financial institution
  • Able to apply designation/education and financial knowledge in a financial services environment
  • Ability to influence others to attain assigned tasks
23

Financial Risk Analyst Resume Examples & Samples

  • Create and distribute client reporting for management. Specific reporting includes dormancy, delinquency, action plan updates, Platinum program performance, repurchase and ad-hoc reporting as needed
  • Manage client repurchase process by initiating demand requests, collecting funds, following up on delays, communication with investors and assisting in servicing and collateral transfer issues as needed
  • Host client escalation meetings including the Red Flag meeting and ad-hoc individual client meetings
  • Provide recommendations to management on suggested corrective action for specific clients
  • Monitor performance metrics for all clients, including financial, compare ratio, delinquency, and government insurance meetings
  • Present at investor and auditor meetings
  • Assist BCM by taking shifts on the department mailbox
  • Contribute on special projects as assigned
  • Education: Bachelor’s degree in finance or related field preferred
  • Experience: Five years’ experience in a commercial credit environment preferred
  • Two or more years of financial analysis and/or risk assessment experience required
  • Skills: Knowledge of Windows, Internet Explorer, MS Office (Microsoft Word, Excel & Access, required)
  • Proficiency in use of Access and Excel to create, update and distribute reporting and conduct analysis
  • Must be able to communicate with clients in a professional manner to address difficult situations, i.e. repurchase collection and performance concerns