Enhance your career as a Financial Risk Analyst with S&P; Global in Toronto, Ontario. This role focuses on financial analytics, data management, and collaborative problem-solving in a hybrid work environment. Join the innovative Financial Risk Analytics team as an analyst.
You will utilize your expertise in Python and data analysis, contributing to high-quality financial risk solutions. In this role, you'll work collaboratively with cross-functional teams to ensure seamless operations, conduct data analysis, and troubleshoot issues proactively. Key Responsibilities:
- Support Risk as a Service and Deployed solutions daily
- Collaborate to resolve issues promptly and efficiently
- Analyze S&P; Global Data and maintain data quality
- Investigate and troubleshoot system and process errors
- Assist in testing and documenting current features Requirements:
- 2+ years in financial analytics or related fields
- Strong analytical and problem-solving abilities
- Experience with Python or similar programming languages
- Interest in financial markets
- Excellent communication skills, both oral and written Leverage your analytical skills and enhance S&P; Global's financial risk initiatives in Toronto while enjoying a collaborative team atmosphere.
📌 Financial Risk Analyst at S&P Global (Toronto)
🏢 Su0026P Global
📍 Toronto
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