Banking Risk Analyst

Saxon Global • Full Time

Posted on Wed, Sep 2, 2026

Support the preparation of financial risk reports and analyses.

Assist with the management and control of financial and market data.

Participate in projects related to Market Risk, Liquidity Risk, and Interest Rate Risk.

Perform data reconciliation, validation, and quality control activities.

Support regulatory and risk management initiatives.

Work closely with Risk, Finance, Treasury, Technology, and Business teams.

Participate in identifying and implementing process improvements and enhanced analytical capabilities.

Support project tracking activities and coordination with different stakeholders.

Mandatory Requirements

University degree in Economics, Finance, Engineering, Mathematics, or a related field.

At least one year of experience in banking, financial risk, or consulting.

Basic knowledge of financial products, markets, or risk management.

Professional English proficiency, B2 level or higher.

Strong analytical skills and attention to detail.

Good communication and teamwork skills.

Preferred Qualifications

Experience in Market Risk, ALM, Liquidity, or Capital-related projects.

Knowledge of banking regulations such as Basel, IRRBB, IFRS 9, or similar frameworks.

Experience with data analysis tools, including advanced Excel, SQL, or Python.

Previous experience in business consulting or transformation projects for financial institutions.

Knowledge of financial platforms such as Murex, Calypso, Kondor, or similar systems.

Experience working with business users and managing stakeholders.

AuditFriendly salary estimate

The employer did not post a salary for this role. Based on AuditFriendly's salary intelligence model (comparable live postings, role, seniority, and location), we estimate base pay of $79,000–$113,000 per year (median ~$95,000). This is an AuditFriendly estimate, not an employer-provided figure.

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