Join the risk management division of a leading global financial group and take part in shaping strategies that anticipate global economic shocks through advanced stress testing. In this critical role, you'll analyze financial indicators under various market scenarios, ensuring regulatory compliance while supporting strategic resource allocation. This position offers exposure to cutting-edge financial modeling and collaboration with international offices in one of Japan's most prestigious financial institutions.
Key Responsibilities
- Conduct stress tests and scenario analyses to evaluate the impact of market fluctuations on key risk metrics.
- Design and implement stress testing frameworks aligned with regulatory requirements and internal policies.
- Prepare comprehensive reports and presentations for internal committees, regulators, and rating agencies.
- Collaborate with domestic and global teams to ensure consistent methodologies and data integrity.
- Contribute to continuous improvement and innovation in risk analysis models and systems.
Required Skills and Qualifications
Skills and Experience
- Minimum 1 year of experience in risk management or a related function at a financial institution.
- Strong numerical and data analysis skills, with proficiency in tools such as Python or Power BI.
- Understanding of financial indicators, stress testing, and risk frameworks.
Soft Skills:
- Strong analytical mindset and attention to detail.
- Proactive learning attitude and ability to apply new knowledge in practice.
Language Requirements:
- Japanese: Fluent (required for internal communication and reporting).
- English: Business-level (for coordination with global offices).
Preferred Skills & Qualifications
- Experience in quantitative modeling or financial risk analysis.
- Familiarity with global regulatory frameworks such as Basel or FSA guidelines.
- Advanced data visualization and reporting experience.
About the Company
Our client is a top-tier financial group recognized for its stability, innovation, and global presence. The company operates closely with international offices while maintaining a strong domestic foundation. It provides employees with opportunities to work in a globally connected environment, developing expertise in risk management and financial regulation that meet world-class standards.
Why You'll Love Working Here
- Gain expertise in financial risk and stress testing within a globally recognized institution.
- Work on high-impact projects that influence strategic decision-making.
- Hybrid and flexible work arrangements supporting work-life balance.
- Opportunities to specialize in market risk or counterparty risk based on career aspirations.
- Continuous learning environment promoting professional growth and innovation.
Don't Miss Out - Apply Now!
