Wealth Management - Investment Risk VP (m/f)

Employer
AREVA Gruppe
Location
Baltimore, MD
Posted
Mar 02, 2018
Closes
Mar 16, 2018
Function
Management
Hours
Full Time
The company operates within the financial industry. Risk Analysts will perform due diligence to analyze and interpret a variety of portfolio performance and risk measures, communicate qualitative and quantitative conclusions to stakeholders, and recommend comprehensive solutions. The ability to reach conclusions quickly and consistently is critical to being successful in this role. This individual will work with Portfolio Managers, the Business, IT, Legal and Compliance, Field Management, and Financial Advisors to escalate issues and improve the wider control framework. Strong analytical skills and understanding of financial products, including an understanding of sensitivity analysis, asset allocation models, and product-specific risk measures Experience with modeling and statistics, including interpretation of risk measures such as VAR and tracking error Commitment to the highest ethical standards including putting clients first Ability to thoroughly investigate and problem solve Ability to see an assignment through from conception through completion 5+ years of experience in the financial services industry

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