Our client, an independent asset management firm, is seeking to hire a Risk Analyst to join the risk department which is responsible for risk management and quantitative analysis. Key ResponsibilitiesDaily risk analysis and reporting Maintaining risk database, modelling tools, and reporting infrastructureProgramming in Python, Excel and databases for risk & quantitative modelling and reportingAssist with developing/improving of models and systems for risk, quantitative investment research, portfolio construction, fund monitoring etcContribute to investment risks monitoring, risk management and regulatory investment complianceKey Requirements 1-2 years’ experience within Financial Services, preferable at an asset manager or investment bank STEM Degree Programming skills in Python and Excel are requiredExperience in database management is desirable