Financial Risk Analyst

15 hours ago


New York, New York, United States S&P Global Full time
About the Role

We are seeking a highly motivated Product Analyst to join our team in London to support our Buy Side Risk solution (market, climate, and liquidity risk) for our asset management and hedge fund client segments.

Responsibilities:
  • Assist in the execution of the product roadmap for our Buy Side Risk solution.
  • Develop analytical tools and prototypes for new features prior to implementation.
  • Coordinate with the data/software/financial engineering teams on the development, testing, and implementation of new risk models.
  • Support current and prospective clients.
What We Are Looking For

We are looking for individuals with a strong background in financial services, sustainability, risk management, quant finance, or technology. A quantitative background in finance, mathematics, economics, physics, computer science, or other technical subjects is required.

Salary Information

The estimated annual salary for this role is £60,000-£80,000, depending on experience. Benefits include health & wellness programs, flexible downtime, continuous learning opportunities, and family-friendly perks.

About S&P Global

S&P Global is a leading provider of information and solutions for global markets. Our team of experts delivers unrivaled insights and leading data and technology solutions, partnering with customers to expand their perspective, operate with confidence, and make decisions with conviction.


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