Embark on a career as a senior consultant or manager and discover the world of financial risk management. Work with clients to support the measurement and management of financial risks in the financial services sector.
Join a highly driven team on various projects focused on identifying and mitigating risks faced by banks and other financial services companies. Utilize your analytical skills, coupled with strong communication abilities, to contribute to model development and validation engagements.
We seek candidates with advanced quantitative and analytical skills, a keen interest in financial risk, and model implications. Confident and credible communication skills are essential, along with a collaborative problem-solving approach.
A strong academic background is required, including at least a Bachelor's degree in Actuarial, Finance, Mathematics, Statistics, or Engineering. Professional qualifications such as FIAA, AIAA, CFA are also preferred.
Proficiency in intermediate to advanced Excel skills and knowledge of software development environments like R, Python, SQL, VBA, SAS, or C++ are necessary. Experience in consultancy or a client-facing role, as well as business development and professional networking, are desirable.