Job Title
We are seeking a seasoned professional to join our team as a Senior Consultant or Manager.
About the Role
This is a challenging and rewarding position that requires expertise in financial risk management, including market risk, credit risk, operational risk, and climate risk. The successful candidate will work closely with clients in the Financial Services sector to support business initiatives spanning risk strategy, transformation, regulatory requirements, and model development.
Key Responsibilities
* Collaborate with a highly driven team on various projects focused on risks faced by banks and other financial services companies.
* Work effectively as a team member by sharing responsibilities, providing support, maintaining communication, and updating senior team members on progress.
* Leverage quantitative, statistical, or analytical skills, along with strong communication abilities, to support model development and validation engagements.
Requirements
* Minimum 3 years of relevant experience for Senior Consultant position.
* At least 5 years of experience for Manager position.
* Advanced quantitative and analytical skills, with a keen interest in financial risk and model implications.
* Strong academic background including at least a Bachelor's degree (Actuarial, Finance, Mathematics, Statistics, or Engineering) and professional qualification (e.g., FIAA, AIAA, CFA).
* Knowledge and experience in software development environments such as R, Python, SQL, VBA, SAS, or C++.
Benefits
* Flexible working hours.
* 26 weeks gender neutral paid parental leave.
* A range of wellness, financial wellbeing, and family-friendly policies.