
Binance Accelerator Program
17 hours ago
Financial Risk Analyst
Binance Accelerator Program Risk Analyst jobs ...
Job DescriptionYou will be responsible for working on Financial Risk Management (FRM) engagements, which tackle but are not limited to credit risk, market risk, and liquidity risk. You will start primarily on assisting the team's efforts on developing, implementing, and/or validating models to provide solutions to client-specific, possibly regulatory-driven, needs. A significant portion of your time will also be spent performing data/risk analytics. With enough understanding of how the firm and the practice operate, you will collaborate with the team to assess existing approaches and methodologies, identify improvement opportunities, and recommend decisions on key risk matters.
Qualifications- This role requires an intermediate background in mathematics, statistics, and/or economics, as well as analytical skills, project management skills, and the ability to integrate into cross-functional teams.
- Minimum 5 years of relevant experience is required.
- Ability to apply critical thinking to data processes to help make more informed decisions.
- Ability to effectively prioritize multiple tasks, projects, and deadlines simultaneously.
- Excellent oral and written communication skills, including listening and presentation skills.
- Ability to drive change and influence individuals at all levels of the organization.
- Proficiency with Microsoft Word, Excel, and PowerPoint.
- Experience documenting processes using project management methodologies is a plus.
- Experience using R and SAS for statistical analysis is a plus.
Posted today
Job DescriptionThe hired person will be supporting the Managers or Supervisors for any assigned engagements related to Financial Risk Management or Regulatory and Risk Advisory. He/she may also assist other service lines if needed. Administrative jobs and desktop research are also included. We are looking for a detail-oriented Financial Risk Analyst with a strong background in mathematics, statistics, or data analytics. The successful candidate will play a key role in assessing and managing financial risks, utilizing quantitative methods to support our clients\' strategic objectives.
Qualifications- Must be a graduate with a Bachelor's or Master\'s degree in Mathematics, Statistics, Data Analytics, Finance, or a related field.
- Proficiency in statistical analysis and data visualization tools (e.g., R, Python, Tableau, SQL).
- Familiarity with risk assessment methodologies and frameworks. Strong analytical and problem-solving skills with attention to detail. Excellent communication skills, both written and verbal.
- 6 months to 1 year of experience in Mathematics, Statistics and Data Analytics. Familiarity with risk management frameworks, regulations, and industry best practices is preferred but not required.
- Training in Probability and Statistics, Financial Mathematics, Econometrics, Data Science, Risk Management, and Financial Modelling. Proficiency in R, SAS, or SPSS for statistical analysis. Knowledge of Python or SQL for data manipulation and analysis.
- CFA license is preferred but not required.
- Fresh graduates are welcome to apply.
Posted today
Job DescriptionYou will be responsible for working on Financial Risk Management (FRM) engagements, which tackle but are not limited to credit risk, market risk, and liquidity risk. You will start primarily on assisting the team's efforts on developing, implementing, and/or validating models to provide solutions to client-specific, possibly regulatory-driven, needs. A significant portion of your time will also be spent performing data/risk analytics. With enough understanding of how the firm and the practice operate, you will collaborate with the team to assess existing approaches and methodologies, identify improvement opportunities, and recommend decisions on key risk matters.
Qualifications- This role requires an intermediate background in mathematics, statistics, and/or economics, as well as analytical skills, project management skills, and the ability to integrate into cross-functional teams.
- At least 3 to 5 years of relevant experience is required.
- Ability to apply critical thinking to data processes to help make more informed decisions.
- Ability to effectively prioritize multiple tasks, projects, and deadlines simultaneously.
- Excellent oral and written communication skills, including listening and presentation skills.
- Ability to drive change and influence individuals at all levels of the organization.
- Proficiency with Microsoft Word, Excel, and PowerPoint.
- Experience documenting processes using project management methodologies is a plus.
- Experience using R and SAS is a plus.
Posted today
Job DescriptionYou will be responsible for working on Financial Risk Management (FRM) engagements, which tackle but are not limited to credit risk, market risk, and liquidity risk. You will start primarily on assisting the team\'s efforts on developing, implementing, and/or validating models to provide solutions to client-specific, possibly regulatory-driven, needs. A significant portion of your time will also be spent performing data/risk analytics. With enough understanding of how the firm and the practice operate, you will collaborate with the team to assess existing approaches and methodologies, identify improvement opportunities, and recommend decisions on key risk matters.
Qualifications- This role requires an intermediate background in mathematics, statistics, and/or economics, as well as analytical skills, project management skills, and the ability to integrate into cross-functional teams.
- 4 to 5 years of relevant experience is required.
- Ability to apply critical thinking to data processes to help make more informed decisions.
- Ability to effectively prioritize multiple tasks, projects, and deadlines simultaneously.
- Excellent oral and written communication skills, including listening and presentation skills.
- Ability to drive change and influence individuals at all levels of the organization.
- Proficiency with Microsoft Word, Excel, and PowerPoint.
- Experience documenting processes using project management methodologies is a plus.
- Experience using R and SAS is a plus.
Posted today
Job DescriptionResponsibilities and Qualifications:
- Bachelor of Accountancy/Mathematics/Applied Mathematics/Statistics. Preferably with MBA or Masters Degree in Finance.
- Minimum of 4 to 5 years of extensive background assessing and managing financial risk and working with banks, insurance companies, accounting firms, asset management firms, etc.
- Knows how to identify threats to assets, analysing business risk, and offering a solution to business risks. Has the ability to detect and scrutinize all possible risks that may end up impacting the organization\'s financial success.
- Can develop strategies to counteract the effects of the fluctuating market on business and their finances. He/she can utilize reports derived from assessing a company\'s risk profile
- Knows how to make use of various valuation techniques and tools, statistical models, and quantitative analysis
- Possess excellent understanding of banking and financial regulations
- Can lead engagements with less supervision from the partner
- Meticulous attention to detail and high level of accuracy. Highly detailed and organized individual with analytical prowess
- Assist in the business development – creating proposals and client presentations
- Logical thinker, problem solver, strong analytical skills and independent.
- Has the ability to handle multiple engagements.
- Can handle a team – coach, motivate and develop his/her team members and the mentee that will be assigned to him/her.
- Excellent verbal and written communication skills
Posted today
Job Description- REQ
- 12/09/2025
- ING Hubs
Financial Risk Specialist II
ING Hubs Philippines is an international part of the ING organization delivering services to many Business Units across the world for both Wholesale Banking and Retail Banking activities. The Market & Financial Risk Reporting circle within COOR/Global Risk Services is looking for a risk reporting specialist, who provides insight in market and credit risk portfolios, performs analysis on risk migrations and participates in projects with the purpose to align on finance and risk data used for statutory or regulatory reporting. The Market & Financial Risk reporting specialist knows how to convert risk data into valuable reports, is an expert in performing quantitative analysis on big data and build constructive relationships with internal Finance, COOF and Risk Management stakeholders. The successful candidate has strong time management skills, stakeholder management, performs well in a fast-paced and dynamic environment, and has a proven track record in managing projects.
Key Responsibilities- Prepare high quality and accurate market & financial risk reports for internal stakeholders
- Monitor, analyse, align and report on important concentrations and trends in the credit risk portfolio
- Provide input for and participate in finance and risk stakeholder meetings
- Perform technical analysis on credit risk data used in statutory or regulatory reporting
- Identify and execute process improvements for reporting and keep report manuals up-to-date
- Strengthen governance and control environment on reporting processes
- Contribute to the digitization/automation of reporting processes
Minimum Qualifications
- Follow workplace instructions and be able to challenge the process
- Easily adapt to changing procedures
- Complete requests accurately and timely
- Proficient in MS Office; Excel, VBA, SAS, PowerBI
- Relevant work experience but requires formal training in theories/concepts of the function
- Ability to learn internal applications quickly
Posted today
Job DescriptionNOTE: We are looking to fill Junior and Mid positions.
Role Purpose
The Financial Risk Consultant/Analyst will support clients to design and implement financial risk programs, including policies for credit risk, fund sourcing frameworks, liquidity monitoring, stress testing, and collections policy development. The focus is on drafting policies, procedures, and frameworks to ensure regulatory compliance and robust risk management.
Key Responsibilities- Draft and maintain policies, standards, and operating procedures for Credit Risk, Fund Sourcing, Liquidity Monitoring, Stress Testing, and Collections.
- Develop frameworks for credit risk assessment, liquidity monitoring, and funding strategies tailored to client operations.
- Design stress testing methodologies and documentation for capital adequacy and liquidity resilience.
- Create collections governance and escalation frameworks aligned with regulatory expectations.
- Conduct gap analyses against regulatory and industry standards (BSP, Basel III, IFRS 9).
- Develop templates, workflow maps, and dashboards to operationalize financial risk policies.
- Collaborate with credit, treasury, and product teams to embed financial risk frameworks.
- Prepare clear reports and materials for senior management, board committees, and regulators.
- Bachelor\'s degree in Finance, Risk Management, Economics, or related field.
- Analyst: 1–3 years\' experience supporting financial risk policy or framework development.
- Consultant: 3–5 years\' experience developing credit/liquidity/funding risk programs or policies.
- Familiarity with stress testing, collections governance, and liquidity risk metrics.
- Strong documentation, data analysis, and stakeholder engagement skills.
Job Type: Full-time
Application Question(s):
- What is your asking salary?
- How soon can you join?
- Are you amenable to a hybrid or onsite arrangement?
Work Location: Hybrid remote in Makati
Financial Risk ManagerPosted today
Job DescriptionResponsible for implementing the frameworks for Liquidity Risk Management, Counterparty Credit Risk Management, and Market Risk Management, which are necessary to conduct the identification, measurement, control, and monitoring of such risks and to ensure that risk exposures are within the risk tolerance set by the senior management as aligned with the risk appetite statement.
What You\'ll Do:
- Prepares weekly updates for team touchpoints
- Reviews the minutes of Asset-liability committee meetings and submits to committees
- Provides support to the Krungsri Risk team to fulfill tasks in required extent, quality, and in a timely manner
- Ensures separation of duties in key elements of the financial risk management process
- Monitors and assesses performance of team members and provides direction
- Ensures accuracy of policies, manuals, and working instructions
- Completes other tasks as assigned by Head of Enterprise Risk Management
What You Need To Have:
- Bachelor\'s degree in mathematics, Statistics, Finance, or related field
- At least 5 years of risk experience in Liquidity, Market and Counterparty Risk Management
- Strong understanding of risk concepts in consumer financing and/or financial services
- Proficiency in MS Office (Excel, Word, Outlook, PowerPoint)
- Presentation and Leadership Skills
What Can Set You Apart:
- Experience in People/Team and Stakeholder Management
- Project Management and Negotiation Skills
- GARP Financial Risk Manager Certification
- Bonus and benefits information
Note: This section includes company-specific messaging about diversity and inclusion.
Financial Risk SpecialistPosted today
Job DescriptionJob Overview: The Market & Financial Risk Reporting circle within COOR/Global Risk Services is looking for a risk reporting specialist, who provides insight in market and credit risk portfolios, performs analysis on risk migrations and participates in projects to align on finance and risk data used for statutory or regulatory reporting. The specialist converts risk data into valuable reports, performs quantitative analysis on big data, and builds relationships with internal stakeholders. Key responsibilities include preparing risk reports, monitoring concentrations and trends, participating in meetings, performing technical analysis, and driving process improvements.
Minimum Qualifications- At least 4 years of experience in a data/analytics-oriented function
- Proficient in Excel, VBA and SQL
- Experience with SAS EG or the ability to quickly acquire such skills
Financial Risk Officer
Job DescriptionPosted today
Job DescriptionResponsible for analyzing financial data, market trends, and regulatory changes to identify and mitigate potential risks. Monitors credit, liquidity, and investment exposures, ensures compliance with financial regulations, and supports business continuity and risk management programs.
Qualifications- Minimum of 5 years\' experience in financial and commercial risk management.
- Bachelor\'s degree in Finance, Engineering, or related field.
- Strong analytical, problem-solving, and communication skills, with the ability to interpret complex data and provide actionable recommendations.
- High ethical standards and attention to detail, with collaborative mindset.
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