Quantitative Risk Consultant - London, United Kingdom - eFinancialCareers
Description
Quantitative Risk Consultant
Tasks
- Work across a specific area of expertise in either Credit Risk, Market Risk or Operational Risk
- Work directly with industry specialists in developing and delivering cuttingedge quantitative solutions for clients
- Help drive and shape the growth of the business by identifying opportunities to expand our footprint across the industry
- Support our growing Quantitative Risk Advisory practice
- Build trusted advisor relationships with key client stakeholders
Benefits
- Extensive training opportunities (e.g. Azure cloud certifications)
- Diverse and vibrant environment you will be surrounded by peers who share your passion for technology and innovation
- Your education doesn't need to stop here Reply pride themselves on continuously learning about emerging technologies
- Opportunity to work on projects with some of the world's leading brands
Qualifications
- A minimum 2:1 bachelors degree in a Finance, Economics, or Businessrelated field
- Experience in statistical and mathematical modelling techniques across your chosen area of expertise (Credit Risk / Market Risk / Operational Risk)
- Experience in IFRS9, IRB models and scorecards / market risk management techniques such as VaR / Stress Testing
- Experience in one or more languages for model development and implementation e
g:
SQL, SAS / Python / R
- Ability to analyse a process and identify opportunities for improvement (risk reduction, control effectiveness and process efficiency perspectives) is prefered
About Avantage Reply
Avantage Reply, part of the Reply Group, specialises in Financial Services consulting with a focus on Governance, Risk and Finance Transformation, Treasury and Capital, Quantitative Modelling, Compliance and Regulatory Advisory.
With offices across Europe,we count some of the world's most significant financial groups among our clients, including in Investment, Retail and Commercial Banking, Custodian Banking, Insurance and Investment Management.
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