
Risk Analytics (Risk Management) : Job Level - Analyst
Are you a proactive and analytical individual looking for a challenging and dynamic career opportunity? Morgan Stanley is seeking a Risk Analytics Analyst to join our Risk Management team. In this role, you will play a critical role in identifying and mitigating potential risks for our firm and clients. If you have a strong understanding of financial markets, excellent problem-solving skills, and a passion for risk management, we invite you to apply for this exciting position. Join us in our mission to protect our organization and clients from potential risks and contribute to our continued success in the financial industry.
- Conduct thorough analysis of financial markets and identify potential risks for the firm and clients.
- Develop and implement risk management strategies and procedures.
- Monitor and evaluate existing risk management processes and make recommendations for improvements.
- Collaborate with various departments and teams to gather and analyze data for risk assessments.
- Communicate findings and recommendations to senior management and stakeholders.
- Stay up-to-date with industry trends and regulations to ensure compliance in risk management practices.
- Identify and resolve any discrepancies or issues in risk data.
- Conduct stress tests and scenario analyses to assess potential impacts on the firm.
- Develop risk reports and presentations for senior management and clients.
- Actively participate in risk management meetings and provide insights and recommendations.
- Continuously evaluate and improve risk management models and tools.
- Assist with internal and external audits and compliance reviews.
- Collaborate with cross-functional teams to develop and implement risk mitigation strategies.
- Train and mentor junior team members in risk management practices.
- Maintain confidentiality and adhere to industry standards and regulations in all risk management activities.
Bachelor's Degree In A Quantitative Field Such As Mathematics, Statistics, Economics, Or Finance.
Knowledge Of Financial Risk Management Concepts, Including Market Risk, Credit Risk, And Operational Risk.
Strong Analytical And Problem-Solving Skills, With Proficiency In Statistical And Data Analysis Tools Such As Sas, R, Or Python.
Familiarity With Financial Products And Their Associated Risks, Including Derivatives, Fixed Income, And Equities.
Excellent Communication And Teamwork Skills, With The Ability To Effectively Present Complex Information To Stakeholders At Various Levels.
Data Analysis
Communication
Quantitative Analysis
Statistical modeling
Financial forecasting
Risk assessment
Risk Mitigation
Teamwork
Regulatory compliance
Problem-Solving
Scenario Planning
Decision-Making
Communication
Conflict Resolution
Emotional Intelligence
Leadership
Time management
creativity
Attention to detail
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Risk Analytics (Risk Management) : Job Level - Analyst in New York, NY, USA is $80,000 - $90,000 per year. However, this can vary depending on factors such as experience, company size, and industry. Some more senior roles within risk analytics may command higher salaries.
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Morgan Stanley provides investment banking products and services to its clients and customers including corporations, governments, financial institutions, and individuals. It operates through the following business segments: Institutional Securities, Wealth Management, and Investment Management. The Institutional Services segment provides financial advisory, capital-raising services, and related financing services on behalf of institutional investors.

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