
Financial Performance & Market Risk Analytics Senior
Welcome to Freddie Mac – where we are committed to making home possible for millions of families nationwide. We are currently seeking a highly skilled and experienced Financial Performance & Market Risk Analytics Senior to join our team. If you are a driven and detail-oriented individual with a passion for data analysis and risk management, we want you to help us continue our mission of providing stability, liquidity, and affordability to the housing market. As a Senior Analyst, you will play a crucial role in identifying and mitigating financial risks, while also providing valuable insights to drive strategic decision making. If you have a strong background in finance, risk management, and analytics, and are looking for a challenging and rewarding opportunity, we encourage you to apply today.
- Conduct financial analysis and risk assessments to identify potential areas of concern and develop strategies for mitigating risks.
- Utilize various analytical tools and techniques to gather, organize, and interpret data related to financial performance and market risk.
- Monitor and evaluate market trends and conditions to identify potential risks and opportunities for the company.
- Collaborate with cross-functional teams to develop and implement risk management strategies and initiatives.
- Prepare and present reports and recommendations to senior management and stakeholders regarding financial performance and market risk.
- Develop and maintain models and frameworks to measure and monitor financial performance and market risk.
- Ensure compliance with regulatory requirements and internal policies and procedures related to financial performance and market risk.
- Stay up-to-date with industry developments and best practices in financial performance and market risk analytics.
- Mentor and train junior analysts on best practices and techniques for financial performance and market risk analysis.
- Continuously assess and improve processes and procedures related to financial performance and market risk analysis to enhance efficiency and effectiveness.
Bachelor's Or Master's Degree In Finance, Economics, Mathematics, Or Related Field.
Minimum Of 7 Years Of Experience In Financial Performance And Market Risk Analytics.
Extensive Knowledge Of Financial Risk Management Principles And Practices.
Strong Analytical And Problem-Solving Skills, With The Ability To Interpret Complex Financial Data.
Experience With Statistical Modeling And Data Analysis Tools, Such As Sas, R, Or Python.
Risk Management
Financial Analysis
Financial Reporting
Market Research
Forecasting
Financial Modeling
Investment Strategy
Data Analytics
Portfolio Management
Regulatory compliance
Performance measurement
Economic Trends
Communication
Conflict Resolution
Customer Service
Emotional Intelligence
Leadership
Time management
creativity
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Financial Performance & Market Risk Analytics Senior in McLean, VA, USA is between $120,000 and $145,000 per year. However, this can vary depending on factors such as the specific company, industry, and individual experience and qualifications.
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Federal Home Loan Mortgage Corp. provides liquidity, stability and affordability to the U.S. housing market primarily by providing credit guarantee for residential mortgages originated by mortgage lenders and investing in mortgage loans and mortgage-related securities.

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