
Analyst, Financial Risk Management
Welcome to Uber, where we are constantly innovating and evolving to revolutionize the way people move around the world. As an Analyst, Financial Risk Management, you will play a crucial role in ensuring the financial stability and success of our company. We are looking for a highly analytical and detail-oriented individual who is passionate about risk management and has a strong understanding of financial markets. If you are a problem-solver, thrive in a fast-paced environment, and have a strong sense of ownership, we want you on our team. Join us and be a part of shaping the future of transportation.
- Conduct financial risk analysis and provide recommendations for risk mitigation strategies.
- Stay up-to-date with financial market trends and regulations to ensure compliance.
- Develop and maintain financial risk management policies and procedures.
- Collaborate with cross-functional teams to identify potential financial risks and develop proactive solutions.
- Conduct in-depth financial data analysis and create reports to support decision making.
- Monitor and assess financial risk exposure, identifying potential areas for improvement.
- Work closely with senior management to present financial risk assessments and recommendations.
- Develop and maintain relationships with external partners and stakeholders to gather relevant market information.
- Identify and implement process improvements to enhance financial risk management practices.
- Keep abreast of industry best practices and trends to continuously improve financial risk management strategies.
- Participate in training and development programs to enhance financial risk management skills.
- Communicate and collaborate effectively with team members and stakeholders to ensure alignment and understanding of financial risk management strategies and goals.
- Conduct periodic audits and reviews to ensure compliance with financial risk management policies and procedures.
- Proactively identify and escalate potential financial risks and issues to senior management.
- Continuously monitor and evaluate the effectiveness of financial risk management strategies, making adjustments as needed.
Bachelor's Degree In Finance, Accounting, Economics, Or Related Field.
Minimum Of 2 Years Experience In Financial Risk Management, Preferably In A Fast-Paced Environment.
Strong Analytical Skills With Proficiency In Financial Modeling And Data Analysis.
Knowledge Of Risk Management Principles And Techniques, Including But Not Limited To Market Risk, Credit Risk, And Operational Risk.
Excellent Communication And Interpersonal Skills, With The Ability To Effectively Collaborate With Cross-Functional Teams And Present Complex Financial Information To Non-Financial Stakeholders.
Data Analysis
Market Research
Forecasting
Financial Modeling
Quantitative Analysis
Statistical modeling
Portfolio Management
Risk assessment
Risk Mitigation
Scenario Planning
Compliance monitoring
Trend
Communication
Conflict Resolution
Leadership
Time management
creativity
Critical thinking
Teamwork
Adaptability
Problem-Solving
Empathy
According to JobzMall, the average salary range for a Analyst, Financial Risk Management in San Francisco, CA, USA is between $85,000 to $120,000 per year. This may vary depending on the specific company, experience level, and other factors. Additionally, bonuses and benefits may also be included in the compensation package.
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Uber Technologies, Inc. is an American multinational transportation network company offering services that include peer-to-peer ridesharing, ride service hailing, food delivery, and a bicycle-sharing system. The company is based in San Francisco and has operations in over 785 metropolitan areas worldwide.

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