4 days ago

Risk Manager

Nexus Consulting

Hybrid
Contractor
$200,000
Hybrid

Job Overview

Job TitleRisk Manager
Job TypeContractor
CategoryCommerce
Experience5 Years
DegreeMaster
Offered Salary$200,000
LocationHybrid

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Job Description

Risk Manager

We are seeking a Financial Risk Specialist to apply deep risk management expertise toward the development and refinement of advanced AI systems. In this remote role, you will translate real-world financial risk practices into structured insights that enhance AI-driven risk modeling, forecasting, and compliance analysis. This opportunity is ideal for professionals who combine strong quantitative skills with a practical understanding of financial markets, regulation, and enterprise risk management.

Key Responsibilities

  • Identify, assess, and analyze financial risks impacting assets, earnings, capital, and overall organizational performance
  • Interpret regulatory developments and financial legislation to evaluate implications for risk exposure and AI model alignment
  • Apply econometric modeling, statistical software, and advanced quantitative techniques to assess market, credit, liquidity, and operational risk
  • Collaborate with traders and financial strategists to capture practical risk insights and translate them into structured AI training inputs
  • Research and incorporate contemporary financial literature, risk methodologies, and statistical innovations into AI training datasets
  • Evaluate AI-generated risk outputs for realism, compliance accuracy, and methodological soundness
  • Clearly communicate complex risk findings and recommendations in written documentation and virtual presentations
  • Partner with cross-functional teams to ensure AI systems reflect real-world financial risk frameworks and industry best practices

Required Skills and Qualifications

  • Demonstrated experience in financial risk analysis within banking, asset management, trading, insurance, or related sectors
  • Strong proficiency with statistical analysis software and econometric modeling tools
  • Expertise in both quantitative and qualitative risk assessment methodologies
  • Deep understanding of financial regulation, compliance frameworks, and legislative interpretation
  • Exceptional written and verbal communication skills
  • Experience collaborating with traders, portfolio managers, or financial strategists
  • Commitment to continuous professional learning and staying current with financial literature
  • Ability to work independently and collaboratively in a fully remote environment

Preferred Qualifications

  • Experience contributing to AI model training, validation, or machine learning initiatives in finance
  • Financial Risk Manager (FRM) certification or equivalent credential
  • Advanced degree in Finance, Economics, Statistics, Mathematics, or a related quantitative field

Key skills/competency

  • Financial Risk Analysis
  • AI Systems Integration
  • Econometric Modeling
  • Regulatory Compliance
  • Quantitative Risk Assessment
  • Statistical Software
  • Market Risk
  • Credit Risk
  • Operational Risk
  • Financial Forecasting

Tags:

Risk Manager
financial risk analysis
regulatory interpretation
econometric modeling
statistical software
quantitative techniques
market risk
credit risk
liquidity risk
operational risk
AI model evaluation
statistical analysis software
econometric modeling tools
AI model training
machine learning initiatives
financial risk software
data analysis tools
simulation software
risk reporting tools
predictive analytics
big data platforms

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How to Get Hired at Nexus Consulting

  • Research Nexus Consulting's culture: Study their mission, values, recent news, and employee testimonials on LinkedIn and Glassdoor.
  • Tailor your resume for AI Risk: Highlight financial risk, AI expertise, quantitative skills, and regulatory compliance experience.
  • Showcase practical financial market insights: Emphasize experience translating real-world market dynamics into actionable risk strategies.
  • Prepare for technical and behavioral interviews: Focus on econometric modeling, statistical analysis, AI ethics in finance, and remote collaboration scenarios.
  • Demonstrate continuous learning: Be ready to discuss how you stay current with financial literature and evolving risk methodologies.

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