Description:
We are seeking a Risk Analyst with expertise in law and market forecasting to enhance our risk management framework. This role requires a unique blend of financial risk assessment, regulatory analysis, and market-acting insight to anticipate and mitigate risks arising from legislative changes, trade policies, and macroeconomic shifts.
Key Responsibilities
- Assess market, credit, and operational risks with a focus on trade impacts (e.g., fiscal/monetary reforms, sanctions, trade policies).
- Analyze upcoming developments of legislation, central bank policies, and investment environment affecting financial markets.
- Collaborate with internal legal/compliance teams to align strategies with regulatory requirements.
- Build relationships with field authority, industry groups, and think tanks to gather information.
- Produce reports on long-term policy trends (e.g., ESG regulations, digital currency frameworks, tax reforms) and their financial implications.
Qualifications & Skills
- Bachelor’s/Master’s degree.
- 3+ years in risk management, government relations, or consulting, or public sectors.
20 Apr 2025;
from:
uworkin.com