Description
We are seeking a highly analytical Quantitative Risk Analyst to develop data-driven approaches for identifying, measuring, and monitoring financial and operational risks across digital financial services. The role is ideal for a mathematically capable professional interested in applying statistical modelling and quantitative techniques to complex fintech environments.
Key Responsibilities
- Develop quantitative models for financial and operational risk assessment.
- Analyse large datasets to identify patterns, anomalies, and emerging risk indicators.
- Perform scenario analysis, sensitivity testing, and risk forecasting.
- Build quantitative frameworks supporting informed financial decisions.
- Monitor model performance and recommend methodological improvements.
- Collaborate with risk, finance, data science, technology, and business teams.
- Produce detailed risk analytics and management reports.
- Support the development of automated risk-monitoring capabilities.
- Investigate unusual movements within financial datasets.
- Contribute to enterprise-wide risk measurement and reporting frameworks.
Qualifications & Experience
- Degree in Mathematics, Statistics, Economics, Finance, Data Science, Engineering, or a related quantitative discipline.
- Experience in quantitative analysis, risk analytics, financial modelling, or fintech.
- Strong knowledge of statistical and analytical methodologies.
- Proficiency with data-analysis tools and quantitative modelling techniques.
- Excellent problem-solving and critical-thinking abilities.
- Strong attention to accuracy, methodology, and data integrity.
What We Offer
- A technically sophisticated role at the intersection of finance, mathematics, and technology.
- Opportunities to work with advanced analytical methodologies.
- Continuous professional development.
- Exposure to complex fintech risk and decision-making environments.
Are you interested in this position?
Apply by clicking on the “Apply Now” Button below!
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